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  • 13F-HR Filing

Jane Street 13F-HRQuarterly holdings report by institutional manager

Filed: 16 Aug 22, 12:00am
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    Filing exhibits
    • 13F-HR Quarterly holdings report by institutional manager
    • TABLE JSG13F2022Q2INFOTABLE
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    The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
    The reader should not assume that the information is accurate and complete.

    UNITED STATES SECURITIES AND EXCHANGE COMMISSION
    Washington, D.C. 20549
    FORM 13F

    FORM 13F INFORMATION TABLE

    OMB APPROVAL
    OMB Number:3235-0006
    Expires:Oct 31, 2018
    Estimated average burden
    hours per response:23.8

    COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
    VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
    NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
    1 800 FLOWERS COM INCCL A68243Q10662565,676SH DFND165,67600
    1 800 FLOWERS COM INCCL A68243Q106181,858SH DFND21,85800
    1 800 FLOWERS COM INCCOM68243Q90624125,300SHCallDFND2000
    1 800 FLOWERS COM INCCOM68243Q95655057,800SHPutDFND257,80000
    10X GENOMICS INCCL A COM88025U1091,06723,572SH DFND123,57200
    10X GENOMICS INCCL A COM88025U1093357,414SH DFND27,41400
    10X GENOMICS INCCOM88025U9094219,300SHCallDFND2000
    10X GENOMICS INCCOM88025U9591,38530,600SHPutDFND230,60000
    111 INCADS68247Q1024421,576SH DFND121,57600
    17 ED & TECHNOLOGY GROUP INCADS81807M205277140,557SH DFND1140,55700
    180 LIFE SCIENCES CORPCOM68236V9044046,800SHCallDFND2000
    1847 GOEDEKER INCCOM28252C1091,8691,531,663SH DFND11,531,66300
    1847 GOEDEKER INCCOM28252C10932,178SH DFND22,17800
    1847 GOEDEKER INCW EXP 06/02/20228252C11733125,969SH DFND1125,96900
    1847 GOEDEKER INCCOM28252C9091411,700SHCallDFND2000
    1LIFE HEALTHCARE INCCOM68269G10773393,534SH DFND193,53400
    1LIFE HEALTHCARE INCCOM68269G10754970,070SH DFND270,07000
    1LIFE HEALTHCARE INCCOM68269G9072,123270,800SHCallDFND2000
    1LIFE HEALTHCARE INCCOM68269G95716220,600SHPutDFND220,60000
    22ND CENTY GROUP INCCOM90137F1032310,648SH DFND110,64800
    22ND CENTY GROUP INCCOM90137F103115,021SH DFND25,02100
    22ND CENTY GROUP INCCOM90137F90314970,000SHCallDFND2000
    23ANDME HOLDING COCLASS A COM90138Q1083012,184SH DFND112,18400
    23ANDME HOLDING COCOM90138Q908307123,800SHCallDFND2000
    23ANDME HOLDING COCOM90138Q958665268,200SHPutDFND2268,20000
    26 CAPITAL ACQUISITION CORPCOM CL A90138P100515,155SH DFND15,15500
    26 CAPITAL ACQUISITION CORPCOM CL A90138P1002,704275,649SH DFND3275,64900
    26 CAPITAL ACQUISITION CORPW EXP 12/31/20290138P11830100,618SH DFND1100,61800
    2SEVENTY BIO INCCOMMON STOCK90138410715511,765SH DFND111,76500
    2U INCCOM90214J10121120,112SH DFND120,11200
    2U INCCOM90214J9012,371226,500SHCallDFND2000
    2U INCCOM90214J95178274,700SHPutDFND274,70000
    2U INCNOTE 2.250% 5/090214JAB7170200,000SH DFND1200,00000
    360 DIGITECH INCAMERICAN DEP88557W10130017,340SH DFND117,34000
    360 DIGITECH INCCOM88557W9013,583207,100SHCallDFND2000
    360 DIGITECH INCCOM88557W9511,22871,000SHPutDFND271,00000
    374WATER INCCOM88583P1043210,926SH DFND110,92600
    3-D SYS CORP DELCOM NEW88554D20526827,660SH DFND127,66000
    3-D SYS CORP DELCOM88554D9051,192122,900SHCallDFND2000
    3-D SYS CORP DELCOM88554D9551,597164,600SHPutDFND2164,60000
    3M COCOM88579Y1012,92422,592SH DFND122,59200
    3M COCOM88579Y1013262,518SH DFND22,51800
    3M COCOM88579Y90147,286365,400SHCallDFND2000
    3M COCOM88579Y95128,975223,900SHPutDFND2223,90000
    7GC & CO HOLDINGS INCCOM CL A81786A107152SH DFND15200
    7GC & CO HOLDINGS INCCOM CL A81786A1071,218123,735SH DFND3123,73500
    7GC & CO HOLDINGS INCW EXP 12/23/20281786A115225,208SH DFND125,20800
    8X8 INC NEWCOM282914100863167,502SH DFND1167,50200
    8X8 INC NEWCOM28291490035068,000SHCallDFND2000
    8X8 INC NEWCOM28291495017033,000SHPutDFND233,00000
    8X8 INC NEWNOTE 0.500% 2/0282914AB68511,000,000SH DFND11,000,00000
    908 DEVICES INCCOM65443P10237818,368SH DFND118,36800
    908 DEVICES INCCOM65443P90282440,000SHCallDFND1000
    AAR CORPCOM00036110588021,023SH DFND121,02300
    ABB LTDSPONSORED ADR00037520415,479579,103SH DFND1579,10300
    ABB LTDSPONSORED ADR000375204933,464SH DFND23,46400
    ABB LTDCOM00037590410,449390,900SHCallDFND2000
    ABBOTT LABSCOM00282410070,428648,206SH DFND1648,20600
    ABBOTT LABSCOM0028241005,77453,141SH DFND253,14100
    ABBOTT LABSCOM00282490066,679613,700SHCallDFND2000
    ABBOTT LABSCOM00282495035,865330,100SHPutDFND2330,10000
    ABBVIE INCCOM00287Y10934,295223,917SH DFND1223,91700
    ABBVIE INCCOM00287Y10915,23699,480SH DFND299,48000
    ABBVIE INCCOM00287Y909204,2391,333,500SHCallDFND2000
    ABBVIE INCCOM00287Y959138,395903,600SHPutDFND2903,60000
    ABCELLERA BIOLOGICS INCCOM00288U10627625,944SH DFND125,94400
    ABCELLERA BIOLOGICS INCCOM00288U10616615,558SH DFND215,55800
    ABCELLERA BIOLOGICS INCCOM00288U9061,181110,900SHCallDFND2000
    ABCELLERA BIOLOGICS INCCOM00288U9561,878176,300SHPutDFND2176,30000
    ABEONA THERAPEUTICS INCCOM00289Y107732,437SH DFND132,43700
    ABERCROMBIE & FITCH COCL A0028962071,30977,379SH DFND177,37900
    ABERCROMBIE & FITCH COCL A0028962074,087241,556SH DFND2241,55600
    ABERCROMBIE & FITCH COCOM00289690795956,700SHCallDFND2000
    ABERCROMBIE & FITCH COCOM0028969578,264488,400SHPutDFND2488,40000
    ABIOMED INCCOM0036541001,7597,106SH DFND17,10600
    ABIOMED INCCOM0036549006,33625,600SHCallDFND2000
    ABIOMED INCCOM0036549505692,300SHPutDFND22,30000
    ABM INDS INCCOM0009571002235,140SH DFND15,14000
    ABRDN ASIA PACIFIC INCOME FUCOM0030091076120,811SH DFND120,81100
    ABRDN ETFSBBRG ALL COMD K10032611042,19480,798SH DFND180,79800
    ABRDN ETFSBBRG ALL COMMDY0032612031,46040,445SH DFND140,44500
    ABRDN ETFSBBG INDUSTRL MET0032616091,29656,011SH DFND156,01100
    ABRDN GOLD ETF TRUSTPHYSCL GOLD SHS00326A1042,582148,966SH DFND1148,96600
    ABRDN GOLD ETF TRUSTPHYSCL GOLD SHS00326A1043,901225,100SH DFND2225,10000
    ABRDN PALLADIUM ETF TRUSTPHYSICAL PALLADM0032621028,72648,863SH DFND148,86300
    ABRDN PLATINUM ETF TRUSTPHYSCL PLATM SHS0032601062,26427,241SH DFND127,24100
    ABRDN PRECIOUS METALS BASKETPHYSCL PRECS MET0032631002,36427,706SH DFND127,70600
    ABRDN SILVER ETF TRUSTPHYSCL SILVR SHS00326410810,019514,582SH DFND1514,58200
    ABRDN SILVER ETF TRUSTPHYSCL SILVR SHS0032641081,51777,900SH DFND277,90000
    ABRDN SILVER ETF TRUSTCOM0032649081,31467,500SHCallDFND2000
    ABSCI CORPORATIONCOM00091E1096218,650SH DFND118,65000
    ABSOLUTE SHS TRWBI BBR VAL 300000400R60171624,274SH DFND124,27400
    ABSOLUTE SHS TRWBI BBR YLD 300000400R70037414,431SH DFND114,43100
    ABSOLUTE SHS TRWBI BULBEAR TR00400R84143023,716SH DFND123,71600
    ABSOLUTE SHS TRWBI PWR FCTR ETF00400R85860623,389SH DFND123,38900
    ABSOLUTE SHS TRWBI BBR GBL INME00400R87442519,834SH DFND119,83400
    ABSOLUTE SOFTWARE CORPCOM00386B10914016,199SH DFND316,19900
    ACADEMY SPORTS & OUTDOORS INCOM00402L1071,32137,183SH DFND137,18300
    ACADEMY SPORTS & OUTDOORS INCOM00402L90740,5301,140,400SHCallDFND2000
    ACADEMY SPORTS & OUTDOORS INCOM00402L9579,738274,000SHPutDFND2274,00000
    ACADIA PHARMACEUTICALS INCCOM00422510851936,838SH DFND136,83800
    ACADIA PHARMACEUTICALS INCCOM00422510834724,660SH DFND224,66000
    ACADIA PHARMACEUTICALS INCCOM0042259081,446102,600SHCallDFND2000
    ACADIA PHARMACEUTICALS INCCOM0042259582,832201,000SHPutDFND2201,00000
    ACCELERATE ACQUISITION CORPCOM CL A00439D10215,0881,545,855SH DFND11,545,85500
    ACCELERATE ACQUISITION CORPW EXP 03/15/20200439D11080498,715SH DFND1498,71500
    ACCELERATE DIAGNOSTICS INCCOM00430H102100100,644SH DFND1100,64400
    ACCELERATE DIAGNOSTICS INCNOTE 2.500% 3/100430HAB81,9713,000,000SH DFND13,000,00000
    ACCENTURE PLC IRELANDSHS CLASS AG1151C1014,38115,780SH DFND115,78000
    ACCENTURE PLC IRELANDSHS CLASS AG1151C1013,24911,701SH DFND211,70100
    ACCENTURE PLC IRELANDCOMG1151C90174,521268,400SHCallDFND2000
    ACCENTURE PLC IRELANDCOMG1151C95164,554232,500SHPutDFND2232,50000
    ACCOLADE INCCOM00437E10215921,469SH DFND121,46900
    ACCOLADE INCCOM00437E10213418,105SH DFND218,10500
    ACCOLADE INCCOM00437E90227737,400SHCallDFND2000
    ACCOLADE INCCOM00437E95234546,600SHPutDFND246,60000
    ACCURAY INCCOM0043971059548,441SH DFND148,44100
    ACE CONVERGENCE ACQU CORPW EXP 09/30/202G0083D104225,000SH DFND125,00000
    ACE GLOBAL BUSINESS ACQU LTDUNIT 03/26/2026G0083E12828527,769SH DFND127,76900
    ACELRX PHARMACEUTICALS INCCOM00444T1001146,493SH DFND146,49300
    ACI WORLDWIDE INCCOM0044981012,34290,454SH DFND190,45400
    ACI WORLDWIDE INCCOM0044989011,34952,100SHCallDFND2000
    ACKRELL SPAC PARTNERS I COW EXP 12/23/20200461L113325,739SH DFND125,73900
    ACLARIS THERAPEUTICS INCCOM00461U90514510,400SHCallDFND2000
    ACM RESH INCCOM CL A00108J10922613,420SH DFND113,42000
    ACM RESH INCCOM CL A00108J1091106,529SH DFND26,52900
    ACM RESH INCCOM00108J9091,41083,800SHCallDFND2000
    ACM RESH INCCOM00108J95935020,800SHPutDFND220,80000
    ACROPOLIS INFRASTRUCTURE ACQUNIT 99/99/99990050292021,488153,287SH DFND1153,28700
    ACTIVISION BLIZZARD INCCOM00507V1095,73473,641SH DFND173,64100
    ACTIVISION BLIZZARD INCCOM00507V10913,926178,854SH DFND2178,85400
    ACTIVISION BLIZZARD INCCOM00507V90991,2521,172,000SHCallDFND2000
    ACTIVISION BLIZZARD INCCOM00507V95925,382326,000SHPutDFND2326,00000
    ACUITY BRANDS INCCOM00508Y1021,3548,790SH DFND18,79000
    ACUITY BRANDS INCCOM00508Y1021,2628,191SH DFND28,19100
    ACUITY BRANDS INCCOM00508Y9023542,300SHCallDFND2000
    ACUITY BRANDS INCCOM00508Y9523232,100SHPutDFND22,10000
    ACUSHNET HLDGS CORPCOM0050981083097,404SH DFND17,40400
    ACUTUS MED INCCOM0051111092018,196SH DFND118,19600
    ACUTUS MED INCCOM0051111091311,956SH DFND211,95600
    ACV AUCTIONS INCCOM CL A00091G10418628,476SH DFND128,47600
    ACV AUCTIONS INCCOM CL A00091G104243,728SH DFND23,72800
    ACV AUCTIONS INCCOM00091G9046910,600SHCallDFND2000
    ADAGIO THERAPEUTICS INCCOM00534A102343104,425SH DFND1104,42500
    ADAGIO THERAPEUTICS INCCOM00534A9026118,500SHCallDFND2000
    ADAMIS PHARMACEUTICALS CORPCOM NEW00547W208917,421SH DFND117,42100
    ADAMIS PHARMACEUTICALS CORPCOM NEW00547W20801SH DFND2100
    ADAPTHEALTH CORPCOMMON STOCK00653Q1021,14963,689SH DFND163,68900
    ADAPTHEALTH CORPCOM00653Q9021,68993,600SHCallDFND2000
    ADAPTIMMUNE THERAPEUTICS PLCSPONDS ADR00653A1077544,086SH DFND144,08600
    ADAPTIVE BIOTECHNOLOGIES CORCOM00650F90923328,800SHCallDFND2000
    ADECOAGRO S ACOML0084990632638,500SHCallDFND2000
    ADECOAGRO S ACOML008499568510,100SHPutDFND210,10000
    ADIAL PHARMACEUTICALS INCCOM00688A1061913,854SH DFND113,85400
    ADIENT PLCORD SHSG0084W10180727,236SH DFND127,23600
    ADIENT PLCORD SHSG0084W10155518,734SH DFND218,73400
    ADIENT PLCCOMG0084W9012,33878,900SHCallDFND2000
    ADIENT PLCCOMG0084W95172624,500SHPutDFND224,50000
    ADIT EDTECH ACQUISITION CORPCOMMON STOCK007024102272,781SH DFND12,78100
    ADIT EDTECH ACQUISITION CORPCOMMON STOCK0070241022,444248,353SH DFND3248,35300
    ADIT EDTECH ACQUISITION CORPW EXP 99/99/999007024110364,321SH DFND164,32100
    ADIT EDTECH ACQUISITION CORPUNIT 99/99/999900702420111111,320SH DFND111,32000
    ADITXT INCCOM0070251091068,097SH DFND168,09700
    ADMA BIOLOGICS INCCOM0008991042914,633SH DFND114,63300
    ADMA BIOLOGICS INCCOM0008999046934,600SHCallDFND2000
    ADOBE SYSTEMS INCORPORATEDCOM00724F1016,02416,455SH DFND116,45500
    ADOBE SYSTEMS INCORPORATEDCOM00724F10146,912128,153SH DFND2128,15300
    ADOBE SYSTEMS INCORPORATEDCOM00724F901221,942606,300SHCallDFND2000
    ADOBE SYSTEMS INCORPORATEDCOM00724F951225,273615,400SHPutDFND2615,40000
    ADT INC DELCOM00090Q903781127,000SHCallDFND2000
    ADT INC DELCOM00090Q95322035,800SHPutDFND235,80000
    ADTALEM GLOBAL ED INCCOM00737L1032,22861,953SH DFND161,95300
    ADTHEORENT HOLDING COMPANYW EXP 12/26/20200739D1172861,207SH DFND161,20700
    ADTRAN INCCOM00738A1061,42781,430SH DFND181,43000
    ADTRAN INCCOM00738A1062120SH DFND312000
    ADVANCE AUTO PARTS INCCOM00751Y1062,97917,208SH DFND117,20800
    ADVANCE AUTO PARTS INCCOM00751Y1064,08723,614SH DFND223,61400
    ADVANCE AUTO PARTS INCCOM00751Y90635,483205,000SHCallDFND2000
    ADVANCE AUTO PARTS INCCOM00751Y95618,348106,000SHPutDFND2106,00000
    ADVANCED DRAIN SYS INC DELCOM00790R9044865,400SHCallDFND2000
    ADVANCED ENERGY INDSCOM00797310088412,119SH DFND112,11900
    ADVANCED ENERGY INDSCOM0079739002193,000SHCallDFND2000
    ADVANCED MERGER PARTNERS INCUNIT 99/99/999900777J20842043,341SH DFND143,34100
    ADVANCED MICRO DEVICES INCCOM00790310729,407384,561SH DFND1343,65300
    ADVANCED MICRO DEVICES INCCOM007903107249,5103,262,843SH DFND23,262,84300
    ADVANCED MICRO DEVICES INCCOM0079031072,11927,710SH DFND327,71000
    ADVANCED MICRO DEVICES INCCOM007903907657,1088,593,020SHCallDFND2000
    ADVANCED MICRO DEVICES INCCOM007903957684,7088,953,944SHPutDFND28,953,94400
    ADVANSIX INCCOM00773T90149214,700SHCallDFND2000
    ADVENT TECHNOLOGIES HOLDNG ICOM CL A00788A1054618,262SH DFND118,26200
    ADVENT TECHNOLOGIES HOLDNG ICOM00788A905684271,400SHCallDFND2000
    ADVENT TECHNOLOGIES HOLDNG ICOM00788A9557027,600SHPutDFND227,60000
    ADVISORS INNER CIRCLE FD IIISTRATEGAS MACRO00775Y64546820,635SH DFND120,63500
    ADVISORS INNER CIRCLE FD IIISTRATEGAS GBL PO00775Y65297342,869SH DFND142,86900
    ADVISORS INNER CIRCLE FD IIIRAYLIANT QUANTAM00775Y7101,15755,364SH DFND155,36400
    ADVISORS INNER CIRCLE FD IIIRAYLIANT QUANTIT00775Y7281,49870,689SH DFND170,68900
    ADVISORS SER TRVEGTECH PLANT B00770X26132619,734SH DFND119,73400
    ADVISORSHARES TRDORSEY WRIGT ADR00768Y2061,80837,202SH DFND137,20200
    ADVISORSHARES TRPOSEIDON DYNAMIC00768Y3543313,628SH DFND113,62800
    ADVISORSHARES TRPURE US CANNABIS00768Y4531,367132,096SH DFND189,14600
    ADVISORSHARES TRPURE US CANNABIS00768Y4535,957575,514SH DFND2575,51400
    ADVISORSHARES TRPURE CANNABIS00768Y49510820,496SH DFND120,49600
    ADVISORSHARES TRDORSY SHRT ETF00768Y5292,699257,798SH DFND1257,79800
    ADVISORSHARES TRNORTH SQUA MCKE00768Y6512,90729,852SH DFND129,85200
    ADVISORSHARES TRNEWFLT MULSINC00768Y7273337,301SH DFND17,30100
    ADVISORSHARES TRNORTH SQUARE ESG00768Y8341,04145,596SH DFND145,59600
    ADVISORSHARES TRCOM00768Y9032,931283,200SHCallDFND2000
    ADVISORSHARES TRCOM00768Y9532,405232,400SHPutDFND2232,40000
    AEA-BRIDGES IMPACT CORPSHS CL AG01046104515,184SH DFND15,18400
    AEA-BRIDGES IMPACT CORPSHS CL AG010461045,045508,535SH DFND3508,53500
    AEA-BRIDGES IMPACT CORPW EXP 09/19/202G01046112136357,496SH DFND1357,49600
    AECOMCOM00766T1001,56023,921SH DFND123,92100
    AECOMCOM00766T90073011,200SHCallDFND2000
    AECOMCOM00766T9502,62240,200SHPutDFND240,20000
    AEGON N VNY REGISTRY SHS0079241031,054240,537SH DFND1240,53700
    AEHR TEST SYSCOM00760J1088711,603SH DFND111,60300
    AEHR TEST SYSCOM00760J10811615,406SH DFND215,40600
    AEHR TEST SYSCOM00760J95814018,700SHPutDFND218,70000
    AEMETIS INCCOM NEW00770K2025511,209SH DFND111,20900
    AEMETIS INCCOM00770K90228257,500SHCallDFND2000
    AEMETIS INCCOM00770K95210220,800SHPutDFND220,80000
    AEQUI ACQUISITION CORPCOM CL A00775W1021,838185,983SH DFND1185,98300
    AEQUI ACQUISITION CORPW EXP 11/30/20200775W110233,515SH DFND133,51500
    AERCAP HOLDINGS NVSHSN0098510646911,467SH DFND111,46700
    AERCAP HOLDINGS NVSHSN009851063,45984,500SH DFND284,50000
    AERCAP HOLDINGS NVCOMN009859069,953243,100SHCallDFND2000
    AERCAP HOLDINGS NVCOMN0098595614,579356,100SHPutDFND2356,10000
    AERIE PHARMACEUTICALS INCCOM00771V10842356,463SH DFND156,46300
    AEROCLEAN TECHNOLOGIES INCCOM00774410525519,431SH DFND119,43100
    AEROJET ROCKETDYNE HLDGS INCCOM00780010569817,187SH DFND117,18700
    AEROJET ROCKETDYNE HLDGS INCCOM00780010566616,401SH DFND216,40100
    AEROJET ROCKETDYNE HLDGS INCCOM00780090546711,500SHCallDFND2000
    AEROJET ROCKETDYNE HLDGS INCCOM00780095541810,300SHPutDFND210,30000
    AEROJET ROCKETDYNE HLDGS INCNOTE 2.250%12/1007800AB15,0253,246,000SH DFND33,246,00000
    AEROVATE THERAPEUTICS INCCOM00806410718311,717SH DFND111,71700
    AEROVIRONMENT INCCOM0080731082,17826,493SH DFND126,49300
    AEROVIRONMENT INCCOM0080739086,17375,100SHCallDFND2000
    AEROVIRONMENT INCCOM0080739582,49930,400SHPutDFND230,40000
    AES CORPCOM00130H10533015,709SH DFND115,70900
    AES CORPUNIT 99/99/999900130H2048249,544SH DFND19,54400
    AES CORPUNIT 99/99/999900130H204226SH DFND32600
    AES CORPCOM00130H9058,049383,100SHCallDFND2000
    AES CORPCOM00130H9551,29661,700SHPutDFND261,70000
    AETERNA ZENTARIS INCCOM007975402317,281SH DFND117,28100
    AEVA TECHNOLOGIES INCCOM00835Q1037824,993SH DFND124,99300
    AEVA TECHNOLOGIES INCCOM00835Q9039630,600SHCallDFND2000
    AEYE INCCL A COM0081831054422,907SH DFND122,90700
    AEYE INCCL A COM00818310542,280SH DFND22,28000
    AEYE INCW EXP 09/30/202008183113519,701SH DFND119,70100
    AEYE INCCOM0081839059851,500SHCallDFND2000
    AFFILIATED MANAGERS GROUP INCOM0082521088797,538SH DFND17,53800
    AFFILIATED MANAGERS GROUP INCOM00825210829252SH DFND225200
    AFFIMED N VCOMN0104510811140,204SH DFND140,20400
    AFFIMED N VCOMN010451088630,999SH DFND230,99900
    AFFIMED N VCOMN0104590824889,400SHCallDFND2000
    AFFIRM HLDGS INCCOM CL A00827B10675041,528SH DFND141,52800
    AFFIRM HLDGS INCCOM CL A00827B10672640,214SH DFND240,21400
    AFFIRM HLDGS INCCOM CL A00827B106150SH DFND35000
    AFFIRM HLDGS INCCOM00827B90635,5131,966,400SHCallDFND2000
    AFFIRM HLDGS INCCOM00827B95658,0883,216,400SHPutDFND23,216,40000
    AFLAC INCCOM0010551024,13974,801SH DFND174,80100
    AFLAC INCCOM0010551021,19521,601SH DFND221,60100
    AFLAC INCCOM00105590222,088399,200SHCallDFND2000
    AFLAC INCCOM00105595214,264257,800SHPutDFND2257,80000
    AFTERNEXT HEALTHTECH ACQUISIUNIT 99/99/9999G011091181,940200,244SH DFND1200,24400
    AG MTG INVT TR INCCOM NEW00122850113820,465SH DFND120,46500
    AGCO CORPCOM0010841022,95529,940SH DFND129,94000
    AGCO CORPCOM0010849025,60656,800SHCallDFND2000
    AGCO CORPCOM0010849521,17511,900SHPutDFND211,90000
    AGEAGLE AERIAL SYS INC NEWCOM00848K101135209,467SH DFND1209,46700
    AGENUS INCCOM NEW00847G70517690,766SH DFND190,76600
    AGENUS INCCOM00847G905236121,500SHCallDFND2000
    AGF INVTS TRAGFIQ GBL INFR00110G60653620,283SH DFND120,28300
    AGILE GROWTH CORPCLASS A ORDG0120210351352,199SH DFND152,19900
    AGILE GROWTH CORPUNIT 03/09/2026G012021291,976200,946SH DFND1200,94600
    AGILE THERAPEUTICS INCCOM NEW00847L20910892,347SH DFND192,34700
    AGILENT TECHNOLOGIES INCCOM00846U1014,19835,344SH DFND135,34400
    AGILENT TECHNOLOGIES INCCOM00846U1013,03325,537SH DFND225,53700
    AGILENT TECHNOLOGIES INCCOM00846U90124,110203,000SHCallDFND2000
    AGILENT TECHNOLOGIES INCCOM00846U95116,913142,400SHPutDFND2142,40000
    AGILON HEALTH INCCOM00857U1071,42865,418SH DFND165,41800
    AGILON HEALTH INCCOM00857U9073,862176,900SHCallDFND1000
    AGILON HEALTH INCCOM00857U9072,572117,800SHCallDFND2000
    AGILON HEALTH INCCOM00857U95727312,500SHPutDFND112,50000
    AGILON HEALTH INCCOM00857U957261,200SHPutDFND21,20000
    AGILYSYS INCCOM00847J10564013,531SH DFND113,53100
    AGIOS PHARMACEUTICALS INCCOM00847X10452023,465SH DFND123,46500
    AGIOS PHARMACEUTICALS INCCOM00847X10459927,014SH DFND227,01400
    AGIOS PHARMACEUTICALS INCCOM00847X9041,53269,100SHCallDFND2000
    AGIOS PHARMACEUTICALS INCCOM00847X9541,88485,000SHPutDFND285,00000
    AGNC INVT CORPCOM00123Q1043,700334,246SH DFND1334,24600
    AGNC INVT CORPCOM00123Q1042,994270,432SH DFND2270,43200
    AGNC INVT CORPCOM00123Q9048,235743,900SHCallDFND2000
    AGNC INVT CORPCOM00123Q9545,128463,200SHPutDFND2463,20000
    AGNICO EAGLE MINES LTDCOM0084741084,44797,184SH DFND197,18400
    AGNICO EAGLE MINES LTDCOM0084741082,64857,867SH DFND257,86700
    AGNICO EAGLE MINES LTDCOM0084741081,34029,278SH DFND329,27800
    AGNICO EAGLE MINES LTDCOM00847490816,959370,617SHCallDFND2000
    AGNICO EAGLE MINES LTDCOM0084749587,507164,060SHPutDFND2164,06000
    AGORA INCADS00851L1037411,336SH DFND111,33600
    AGORA INCADS00851L10311918,172SH DFND218,17200
    AGORA INCCOM00851L95316625,300SHPutDFND225,30000
    AGREE RLTY CORPCOM0084921005978,275SH DFND18,27500
    AGRIFY CORPCOM00853E9079749,100SHCallDFND2000
    AILERON THERAPEUTICS INCCOM00887A1052075,830SH DFND175,83000
    AIM ETF PRODUCTS TRUSTUS LRG CP BUF1000888H10946117,494SH DFND117,49400
    AIM ETF PRODUCTS TRUSTUS LRG CP BUF2000888H2081,08842,973SH DFND142,97300
    AIM ETF PRODUCTS TRUSTUS LRG CP BUFR2000888H50560122,982SH DFND122,98200
    AIM ETF PRODUCTS TRUSTUS LRG CP BFR 1000888H60436113,366SH DFND113,36600
    AIM ETF PRODUCTS TRUSTUS LRG CP BUFR1000888H70393538,152SH DFND138,15200
    AIM ETF PRODUCTS TRUSTUS LRG CP BUFR2000888H8021,15146,756SH DFND146,75600
    AIM ETF PRODUCTS TRUSTALLIANZIM U S LA00888H86935115,774SH DFND115,77400
    AIM IMMUNOTECH INCCOM00901B105810,396SH DFND110,39600
    AIR INDS GROUPCOM NEW00912N2051216,705SH DFND116,70500
    AIR LEASE CORPCL A00912X3021,09332,695SH DFND132,69500
    AIR LEASE CORPCL A00912X30260918,226SH DFND218,22600
    AIR LEASE CORPCOM00912X95290927,200SHPutDFND227,20000
    AIR PRODS & CHEMS INCCOM0091581061,2865,348SH DFND15,34800
    AIR PRODS & CHEMS INCCOM00915890671,543297,500SHCallDFND2000
    AIR PRODS & CHEMS INCCOM00915895616,64169,200SHPutDFND269,20000
    AIR TRANSPORT SERVICES GRP ICOM00922R9051,42549,600SHCallDFND2000
    AIRBNB INCCOM CL A00906610121,180237,766SH DFND1237,76600
    AIRBNB INCCOM CL A00906610118,824211,320SH DFND2211,32000
    AIRBNB INCCOM CL A0090661011741,956SH DFND31,95600
    AIRBNB INCCOM009066901131,1791,472,600SHCallDFND2000
    AIRBNB INCCOM009066951223,1632,505,200SHPutDFND22,505,20000
    AIRGAIN INCCOM00938A10457370,550SH DFND170,55000
    AIRSPAN NETWORKS HOLDINGS INW EXP 11/01/20200951K112650,700SH DFND150,70000
    AKAMAI TECHNOLOGIES INCCOM00971T10117,260188,989SH DFND1188,98900
    AKAMAI TECHNOLOGIES INCCOM00971T1015425,932SH DFND25,93200
    AKAMAI TECHNOLOGIES INCCOM00971T1013083,373SH DFND33,37300
    AKAMAI TECHNOLOGIES INCCOM00971T90140,569444,200SHCallDFND2000
    AKAMAI TECHNOLOGIES INCCOM00971T95135,436388,000SHPutDFND2388,00000
    AKEBIA THERAPEUTICS INCCOM00972D10556159,378SH DFND1159,37800
    AKEBIA THERAPEUTICS INCCOM00972D10512,788SH DFND22,78800
    AKEBIA THERAPEUTICS INCCOM00972D9051747,300SHCallDFND2000
    AKERO THERAPEUTICS INCCOM00973Y1089710,291SH DFND110,29100
    AKERO THERAPEUTICS INCCOM00973Y1085539SH DFND253900
    AKUMIN INCCOM01021F109712,327SH DFND112,32700
    ALAMO GROUP INCCOM0113111076195,313SH DFND15,31300
    ALAMOS GOLD INC NEWCOM CL A01153210861287,203SH DFND187,20300
    ALAMOS GOLD INC NEWCOM CL A01153210858783,626SH DFND283,62600
    ALAMOS GOLD INC NEWCOM CL A01153210841559,063SH DFND359,06300
    ALAMOS GOLD INC NEWCOM01153290859084,100SHCallDFND2000
    ALAMOS GOLD INC NEWCOM01153295854878,100SHPutDFND278,10000
    ALARM COM HLDGS INCCOM0116421053495,646SH DFND15,64600
    ALARM COM HLDGS INCCOM0116421051402,269SH DFND22,26900
    ALARM COM HLDGS INCCOM01164210518287SH DFND328700
    ALARM COM HLDGS INCCOM0116429551,79429,000SHPutDFND229,00000
    ALASKA AIR GROUP INCCOM01165910977219,284SH DFND119,28400
    ALASKA AIR GROUP INCCOM0116591093,15378,715SH DFND278,71500
    ALASKA AIR GROUP INCCOM01165990911,967298,800SHCallDFND2000
    ALASKA AIR GROUP INCCOM0116599597,261181,300SHPutDFND2181,30000
    ALAUNOS THERAPEUTICS INCCOM98973P101138111,647SH DFND1111,64700
    ALBANY INTL CORPCL A0123481087179,103SH DFND19,10300
    ALBEMARLE CORPCOM0126531018,81842,197SH DFND142,19700
    ALBEMARLE CORPCOM01265310113,60765,113SH DFND265,11300
    ALBEMARLE CORPCOM0126531015502,630SH DFND32,63000
    ALBEMARLE CORPCOM01265390142,214202,000SHCallDFND2000
    ALBEMARLE CORPCOM01265395169,214331,200SHPutDFND2331,20000
    ALBERTSONS COS INCCOMMON STOCK01309110392134,474SH DFND134,47400
    ALBERTSONS COS INCCOMMON STOCK0130911031455,444SH DFND25,44400
    ALBERTSONS COS INCCOM0130919033,343125,100SHCallDFND2000
    ALBERTSONS COS INCCOM0130919534,732177,100SHPutDFND2177,10000
    ALBIREO PHARMA INCCOM01345P90648524,400SHCallDFND2000
    ALCOA CORPCOM0138721065,130112,555SH DFND1112,55500
    ALCOA CORPCOM0138721063,62779,566SH DFND279,56600
    ALCOA CORPCOM01387290642,244926,800SHCallDFND2000
    ALCOA CORPCOM01387295656,5011,239,600SHPutDFND21,239,60000
    ALCON AGORD SHSH013011286,08387,114SH DFND187,11400
    ALCON AGCOMH013019081,66923,900SHCallDFND2000
    ALECTOR INCCOM01444210714914,713SH DFND114,71300
    ALEXANDRIA REAL ESTATE EQ INCOM0152711093,97527,408SH DFND127,40800
    ALEXANDRIA REAL ESTATE EQ INCOM01527110911,53079,504SH DFND279,50400
    ALEXANDRIA REAL ESTATE EQ INCOM0152719092181,500SHCallDFND2000
    ALEXANDRIA REAL ESTATE EQ INCOM0152719593,82926,400SHPutDFND226,40000
    ALEXCO RESOURCE CORPCOM01535P106410,810SH DFND110,81000
    ALEXCO RESOURCE CORPCOM01535P10611,341SH DFND31,34100
    ALGOMA STL GROUP INCCOM0156581074,556507,379SH DFND1507,37900
    ALGOMA STL GROUP INCCOM0156581071,010112,452SH DFND3112,45200
    ALGOMA STL GROUP INCW EXP 10/19/202015658115481234,663SH DFND1234,66300
    ALGONQUIN PWR UTILS CORPCOM0158571051,585117,946SH DFND1117,94600
    ALGONQUIN PWR UTILS CORPCOM0158571052,288170,257SH DFND3170,25700
    ALIBABA GROUP HLDG LTDSPONSORED ADS01609W102120,8181,062,793SH DFND11,062,79300
    ALIBABA GROUP HLDG LTDSPONSORED ADS01609W102378,9953,333,875SH DFND23,333,87500
    ALIBABA GROUP HLDG LTDSPONSORED ADS01609W1027566,650SH DFND36,65000
    ALIBABA GROUP HLDG LTDSPONSORED ADS01609W1025915,200SH DFND5,20000
    ALIBABA GROUP HLDG LTDCOM01609W9021,177,92910,361,800SHCallDFND2000
    ALIBABA GROUP HLDG LTDCOM01609W952756,8816,658,000SHPutDFND26,658,00000
    ALIGHT INCCOM CL A01626W10119428,717SH DFND128,71700
    ALIGHT INCCOM01626W90166999,100SHCallDFND2000
    ALIGN TECHNOLOGY INCCOM01625510111,65249,234SH DFND149,23400
    ALIGN TECHNOLOGY INCCOM01625510110,11942,754SH DFND242,75400
    ALIGN TECHNOLOGY INCCOM01625590140,826172,500SHCallDFND2000
    ALIGN TECHNOLOGY INCCOM01625595135,524150,100SHPutDFND2150,10000
    ALIGNMENT HEALTHCARE INCCOM01625V10415713,718SH DFND113,71800
    ALJ REGL HLDGS INCCOM0016271087639,545SH DFND139,54500
    ALKALINE WTR CO INCCOM NEW01643A207923,277SH DFND123,27700
    ALKERMES PLCSHSG017671052,44181,932SH DFND181,93200
    ALKERMES PLCCOMG017679055,201174,600SHCallDFND2000
    ALKERMES PLCCOMG017679551,91064,100SHPutDFND264,10000
    ALLAKOS INCCOM01671P10026584,751SH DFND184,75100
    ALLAKOS INCCOM01671P10041,425SH DFND21,42500
    ALLAKOS INCCOM01671P9009831,300SHCallDFND2000
    ALLBIRDS INCCOM CL A01675A109609154,949SH DFND1154,94900
    ALLBIRDS INCCOM CL A01675A109499126,867SH DFND2126,86700
    ALLBIRDS INCCOM01675A909780198,500SHCallDFND2000
    ALLBIRDS INCCOM01675A95925966,000SHPutDFND266,00000
    ALLEGHANY CORP MDCOM0171751001,1511,382SH DFND11,38200
    ALLEGHENY TECHNOLOGIES INCCOM01741R1024,201184,971SH DFND1184,97100
    ALLEGHENY TECHNOLOGIES INCCOM01741R9024,413194,300SHCallDFND2000
    ALLEGHENY TECHNOLOGIES INCCOM01741R9523,282144,500SHPutDFND2144,50000
    ALLEGIANCE BANCSHARES INCCOM01748H1073348,835SH DFND18,83500
    ALLEGIANT TRAVEL COCOM01748X1022332,056SH DFND12,05600
    ALLEGIANT TRAVEL COCOM01748X90213,085115,700SHCallDFND2000
    ALLEGIANT TRAVEL COCOM01748X9524984,400SHPutDFND24,40000
    ALLEGION PLCORD SHSG0176J1092,25022,981SH DFND122,98100
    ALLEGION PLCCOMG0176J9092352,400SHCallDFND2000
    ALLEGRO MICROSYSTEMS INCCOM01749D10555726,917SH DFND126,91700
    ALLIANCE RESOURCE PARTNERS LUT LTD PART01877R108482,607SH DFND12,60700
    ALLIANCE RESOURCE PARTNERS LUT LTD PART01877R1081,02556,211SH DFND256,21100
    ALLIANCE RESOURCE PARTNERS LCOM01877R9082,731149,800SHCallDFND2000
    ALLIANCE RESOURCE PARTNERS LCOM01877R95860933,400SHPutDFND233,40000
    ALLIANCEBERNSTEIN HLDG L PCOM01881G9066,387153,600SHCallDFND2000
    ALLIANCEBERNSTEIN HLDG L PCOM01881G95693622,500SHPutDFND222,50000
    ALLIANT ENERGY CORPCOM0188021084908,353SH DFND18,35300
    ALLIANT ENERGY CORPCOM0188029087,520128,300SHCallDFND2000
    ALLISON TRANSMISSION HLDGS ICOM01973R1011,12129,157SH DFND129,15700
    ALLISON TRANSMISSION HLDGS ICOM01973R1012346,089SH DFND26,08900
    ALLISON TRANSMISSION HLDGS ICOM01973R9012,11955,100SHCallDFND2000
    ALLISON TRANSMISSION HLDGS ICOM01973R95160015,600SHPutDFND215,60000
    ALLOGENE THERAPEUTICS INCCOM01977010665657,551SH DFND157,55100
    ALLOGENE THERAPEUTICS INCCOM01977010630526,750SH DFND226,75000
    ALLOGENE THERAPEUTICS INCCOM01977090622619,800SHCallDFND2000
    ALLOGENE THERAPEUTICS INCCOM01977095614913,100SHPutDFND213,10000
    ALLOVIR INCCOM01981810312030,701SH DFND130,70100
    ALLOVIR INCCOM0198181031345SH DFND234500
    ALLSCRIPTS HEALTHCARE SOLUTNCOM01988P1082,211149,112SH DFND1149,11200
    ALLSTATE CORPCOM0200021018336,570SH DFND16,57000
    ALLSTATE CORPCOM0200021011,2179,601SH DFND29,60100
    ALLSTATE CORPCOM02000290110,01279,000SHCallDFND2000
    ALLSTATE CORPCOM0200029517,54059,500SHPutDFND259,50000
    ALLY FINL INCCOM02005N10010,079300,762SH DFND1300,76200
    ALLY FINL INCCOM02005N1002,67579,827SH DFND279,82700
    ALLY FINL INCCOM02005N90011,665348,100SHCallDFND2000
    ALLY FINL INCCOM02005N95011,145332,600SHPutDFND2332,60000
    ALMADEN MINERALS LTDCOM CL B0202833051460,738SH DFND160,73800
    ALNYLAM PHARMACEUTICALS INCCOM02043Q1071,0837,426SH DFND17,42600
    ALNYLAM PHARMACEUTICALS INCCOM02043Q10717,856122,426SH DFND2122,42600
    ALNYLAM PHARMACEUTICALS INCCOM02043Q90731,095213,200SHCallDFND2000
    ALNYLAM PHARMACEUTICALS INCCOM02043Q95739,613271,600SHPutDFND2271,60000
    ALPHA & OMEGA SEMICONDUCTORSHSG6331P104732,185SH DFND12,18500
    ALPHA & OMEGA SEMICONDUCTORSHSG6331P1041534,593SH DFND24,59300
    ALPHA & OMEGA SEMICONDUCTORCOMG6331P90465019,500SHCallDFND2000
    ALPHA & OMEGA SEMICONDUCTORCOMG6331P95478723,600SHPutDFND223,60000
    ALPHA CAPITAL ACQUISITION COUNIT 02/16/2026G0316P1141,601160,085SH DFND1160,08500
    ALPHA CAPITAL ACQUISITION COCL A ORD SHSG0316P13017417,616SH DFND117,61600
    ALPHA METALLURGICAL RESOUR ICOM0207641063,07523,813SH DFND123,81300
    ALPHA METALLURGICAL RESOUR ICOM0207641064,30033,301SH DFND233,30100
    ALPHA METALLURGICAL RESOUR ICOM02076490692,147713,600SHCallDFND2000
    ALPHA METALLURGICAL RESOUR ICOM02076495615,289118,400SHPutDFND2118,40000
    ALPHA PRO TECH LTDCOM0207729595812,900SHPutDFND212,90000
    ALPHABET INCCAP STK CL C02079K10780,36536,739SH DFND136,73900
    ALPHABET INCCAP STK CL C02079K107238,310108,944SH DFND2108,94400
    ALPHABET INCCAP STK CL C02079K1073,6491,668SH DFND31,66800
    ALPHABET INCCAP STK CL A02079K3057,8413,598SH DFND13,59800
    ALPHABET INCCAP STK CL A02079K305180,69382,915SH DFND282,91500
    ALPHABET INCCAP STK CL A02079K30518,8998,672SH DFND38,67200
    ALPHABET INCCOM02079K9055,685,9072,609,100SHCallDFND2000
    ALPHABET INCCOM02079K9071,105,318505,300SHCallDFND2000
    ALPHABET INCCOM02079K9551,887,893866,300SHPutDFND2866,30000
    ALPHABET INCCOM02079K9573,832,1941,751,900SHPutDFND21,751,90000
    ALPHATEC HLDGS INCCOM02081G90137757,600SHCallDFND2000
    ALPS ETF TROSHS GBL INTER00162Q36139514,601SH DFND114,60100
    ALPS ETF TROSHARES EUR QLT00162Q3791,50666,646SH DFND166,64600
    ALPS ETF TRINTER MUNI BD00162Q41189935,170SH DFND135,17000
    ALPS ETF TRGLOBAL TRAVEL00162Q42937720,155SH DFND120,15500
    ALPS ETF TRHILLMAN ACTIVE00162Q43745621,496SH DFND121,49600
    ALPS ETF TRALERIAN MLP00162Q4524,544131,898SH DFND1131,89800
    ALPS ETF TRALERIAN MLP00162Q4521,52644,289SH DFND244,28900
    ALPS ETF TRCLEAN ENERGY00162Q4601,39328,646SH DFND128,64600
    ALPS ETF TRDISRUPTIVE TECH00162Q4782,16065,019SH DFND165,01900
    ALPS ETF TRRIVERFRONT DYM00162Q53656224,858SH DFND124,85800
    ALPS ETF TRRIVRFRNT STR INC00162Q7831,85481,744SH DFND158,81000
    ALPS ETF TRCOM00162Q90224,670716,100SHCallDFND2000
    ALPS ETF TRCOM00162Q9524,520131,200SHPutDFND2131,20000
    ALTC ACQUISITION CORPCOM CL A02156V1094409SH DFND140900
    ALTC ACQUISITION CORPCOM CL A02156V109965100,000SH DFND3100,00000
    ALTERYX INCCOM CL A02156B1031,31127,082SH DFND127,08200
    ALTERYX INCCOM CL A02156B1033,97782,132SH DFND282,13200
    ALTERYX INCCOM02156B9036,924143,000SHCallDFND2000
    ALTERYX INCCOM02156B9539,413194,400SHPutDFND2194,40000
    ALTERYX INCNOTE 1.000% 8/002156BAF01,6032,000,000SH DFND32,000,00000
    ALTICE USA INCCL A02156K1031,961211,995SH DFND1211,99500
    ALTICE USA INCCL A02156K103173SH DFND27300
    ALTICE USA INCCOM02156K9033,628392,200SHCallDFND2000
    ALTICE USA INCCOM02156K9534,561493,100SHPutDFND2493,10000
    ALTIMAR ACQUISITION CORP IIIUNIT 99/99/9999G0370U12466567,769SH DFND167,76900
    ALTIMETER GROWTH CORP 2COM CL AG0371B1096606SH DFND160600
    ALTIMETER GROWTH CORP 2COM CL AG0371B10946547,187SH DFND347,18700
    ALTIMMUNE INCCOM NEW02155H20038232,681SH DFND132,68100
    ALTIMMUNE INCCOM NEW02155H20013511,533SH DFND211,53300
    ALTIMMUNE INCCOM02155H90057649,200SHCallDFND2000
    ALTITUDE ACQUISITION CORPW EXP 11/30/20202156Y11113103,636SH DFND1103,63600
    ALTO INGREDIENTS INCCOM02151310624565,956SH DFND165,95600
    ALTO INGREDIENTS INCCOM0215131064812,962SH DFND212,96200
    ALTO INGREDIENTS INCCOM0215139061,073289,300SHCallDFND2000
    ALTO INGREDIENTS INCCOM02151395614037,700SHPutDFND237,70000
    ALTRIA GROUP INCCOM02209S10324,700591,332SH DFND1591,33200
    ALTRIA GROUP INCCOM02209S10397423,322SH DFND223,32200
    ALTRIA GROUP INCCOM02209S90353,4741,280,200SHCallDFND2000
    ALTRIA GROUP INCCOM02209S95331,599756,500SHPutDFND2756,50000
    ALTSHARES TRUSTMERGER ARBITRAGE02210T1082258,641SH DFND18,64100
    ALTSHARES TRUSTEVENT-DRIVEN ETF02210T20727529,781SH DFND129,78100
    ALTUS POWER INCCOM CL A02217A10214623,173SH DFND123,17300
    ALTUS POWER INCCOM CL A02217A1029214,630SH DFND214,63000
    ALTUS POWER INCW EXP 12/09/20202217A110166127,940SH DFND1127,94000
    ALTUS POWER INCCOM02217A95213621,500SHPutDFND221,50000
    ALUMINUM CORP CHINA LIMITEDSPON ADR H SHS02227610911211,809SH DFND111,80900
    ALVOTECHORDINARY SHARESL0180010833741,060SH DFND141,06000
    ALX ONCOLOGY HLDGS INCCOM00166B90510513,000SHCallDFND2000
    AMARIN CORP PLCSPONS ADR NEW02311120614094,282SH DFND194,28200
    AMARIN CORP PLCSPONS ADR NEW0231112061,132759,520SH DFND2759,52000
    AMARIN CORP PLCCOM023111906375251,400SHCallDFND2000
    AMARIN CORP PLCCOM0231119561,473988,500SHPutDFND2988,50000
    A-MARK PRECIOUS METALS INCCOM00181T9071,43844,600SHCallDFND2000
    AMAZON COM INCCOM02313510693,002875,640SH DFND1875,64000
    AMAZON COM INCCOM023135106660,4926,218,741SH DFND26,218,74100
    AMAZON COM INCCOM0231351062232,100SH DFND32,10000
    AMAZON COM INCCOM0231359063,838,81236,143,600SHCallDFND2000
    AMAZON COM INCCOM0231359564,511,40842,476,300SHPutDFND242,476,30000
    AMBAC FINL GROUP INCCOM NEW02313988433629,577SH DFND129,57700
    AMBAC FINL GROUP INCCOM NEW02313988467359,286SH DFND259,28600
    AMBAC FINL GROUP INCCOM02313990436732,300SHCallDFND2000
    AMBAC FINL GROUP INCCOM02313995419917,500SHPutDFND217,50000
    AMBARELLA INCSHSG037AX1012493,800SH DFND13,80000
    AMBARELLA INCSHSG037AX1011161,776SH DFND21,77600
    AMBARELLA INCCOMG037AX9013,93460,100SHCallDFND2000
    AMBARELLA INCCOMG037AX9513,01846,100SHPutDFND246,10000
    AMBEV SASPONSORED ADR02319V1035,1472,050,593SH DFND12,050,59300
    AMBEV SACOM02319V9033,5581,417,700SHCallDFND2000
    AMBEV SACOM02319V9531,966783,100SHPutDFND2783,10000
    AMC ENTMT HLDGS INCCL A COM00165C10412,350911,435SH DFND1911,43500
    AMC ENTMT HLDGS INCCOM00165C904109,5388,084,000SHCallDFND2000
    AMC ENTMT HLDGS INCCOM00165C95434,4812,544,700SHPutDFND22,544,70000
    AMC NETWORKS INCCL A00164V10332511,163SH DFND111,16300
    AMC NETWORKS INCCL A00164V10330110,353SH DFND210,35300
    AMC NETWORKS INCCOM00164V90360920,900SHCallDFND2000
    AMC NETWORKS INCCOM00164V95394332,400SHPutDFND232,40000
    AMCOR PLCORDG0250X1071,257100,941SH DFND1100,94100
    AMCOR PLCCOMG0250X90772157,900SHCallDFND2000
    AMDOCS LTDCOMG026029031,89922,800SHCallDFND2000
    AMDOCS LTDCOMG026029532252,700SHPutDFND22,70000
    AMEDISYS INCCOM0234361084,62644,007SH DFND144,00700
    AMEDISYS INCCOM0234369081,21911,600SHCallDFND2000
    AMEDISYS INCCOM0234369581,95518,600SHPutDFND218,60000
    AMER SOFTWARE INCCL A02968310927416,979SH DFND116,97900
    AMER STATES WTR COCOM0298991012242,748SH DFND12,74800
    AMERCOCOM023586100287601SH DFND160100
    AMEREN CORPCOM0236081027217,980SH DFND27,98000
    AMEREN CORPCOM0236089021,77119,600SHCallDFND2000
    AMEREN CORPCOM0236089521,33714,800SHPutDFND214,80000
    AMERESCO INCCL A02361E10847310,378SH DFND110,37800
    AMERESCO INCCL A02361E1082024,428SH DFND24,42800
    AMERESCO INCCOM02361E9082515,500SHCallDFND2000
    AMERICA MOVIL SAB DE CVSPON ADR L SHS02364W1052,975145,557SH DFND1145,55700
    AMERICA MOVIL SAB DE CVSPON ADR L SHS02364W10579939,114SH DFND239,11400
    AMERICA MOVIL SAB DE CVCOM02364W90522110,800SHCallDFND2000
    AMERICA MOVIL SAB DE CVCOM02364W95575236,800SHPutDFND236,80000
    AMERICAN ACQUISITION OPPT INW EXP 05/28/20202369M110317,917SH DFND117,91700
    AMERICAN AIRLINES GROUP INCNOTE 6.500% 7/002376RAF9156150,000SH DFND3150,00000
    AMERICAN AIRLS GROUP INCCOM02376R1023,360264,954SH DFND1264,95400
    AMERICAN AIRLS GROUP INCCOM02376R1028,204647,039SH DFND2647,03900
    AMERICAN AIRLS GROUP INCCOM02376R90247,7313,764,300SHCallDFND2000
    AMERICAN AIRLS GROUP INCCOM02376R95271,8175,663,800SHPutDFND25,663,80000
    AMERICAN ASSETS TR INCCOM02401310465422,034SH DFND122,03400
    AMERICAN ASSETS TR INCCOM024013104144SH DFND24400
    AMERICAN AXLE & MFG HLDGS INCOM02406110348163,926SH DFND163,92600
    AMERICAN AXLE & MFG HLDGS INCOM02406110330240,120SH DFND240,12000
    AMERICAN AXLE & MFG HLDGS INCOM0240619032,295304,800SHCallDFND2000
    AMERICAN AXLE & MFG HLDGS INCOM024061953930123,500SHPutDFND2123,50000
    AMERICAN CENTY ETF TRDIVERSIFID CRP0250721093,10266,733SH DFND166,73300
    AMERICAN CENTY ETF TRAVANTIS RESPONSI0250723151,01023,073SH DFND123,07300
    AMERICAN CENTY ETF TRSELECT HIGH YIEL0250723312,56360,182SH DFND160,18200
    AMERICAN CENTY ETF TRUS LARGE CAP VLU0250723492846,163SH DFND16,16300
    AMERICAN CENTY ETF TRREAL ESTATE ETF02507235658013,054SH DFND113,05400
    AMERICAN CENTY ETF TREMERGING MKT VAL0250723721,87344,317SH DFND144,31700
    AMERICAN CENTY ETF TRQUALITY DIVRSFED02507240610,499268,329SH DFND1196,05900
    AMERICAN CENTY ETF TREMERGING MARKETS0250724141,11029,308SH DFND129,30800
    AMERICAN CENTY ETF TRDIVERSIFIED MU02507250511,197224,650SH DFND1224,64900
    AMERICAN CENTY ETF TRQUALITY CONVER0250725215,916148,933SH DFND1148,93300
    AMERICAN CENTY ETF TRAVANTIS CORE FI02507256217,330404,293SH DFND1265,74700
    AMERICAN CENTY ETF TRAVANTIS SHFXDINC0250726871,31328,053SH DFND128,05300
    AMERICAN CENTY ETF TRCORE MUNI FXD IN02507269553311,673SH DFND111,67300
    AMERICAN CENTY ETF TRINTL EQT ETF02507270337,171729,414SH DFND1503,79500
    AMERICAN CENTY ETF TRINTL SMCP VLU02507280213,546256,745SH DFND1256,74500
    AMERICAN CENTY ETF TRUS EQT ETF0250728859,511146,234SH DFND1146,23400
    AMERICAN EAGLE OUTFITTERS INCOM02553E10679470,979SH DFND170,97900
    AMERICAN EAGLE OUTFITTERS INCOM02553E10667960,771SH DFND260,77100
    AMERICAN EAGLE OUTFITTERS INCOM02553E9067,418663,500SHCallDFND2000
    AMERICAN EAGLE OUTFITTERS INCOM02553E9564,056362,800SHPutDFND2362,80000
    AMERICAN EAGLE OUTFITTERS INNOTE 3.750% 4/102553EAB21,4911,000,000SH DFND11,000,00000
    AMERICAN ELEC PWR CO INCCOM0255371011,30913,643SH DFND113,64300
    AMERICAN ELEC PWR CO INCCOM0255371011,97220,552SH DFND320,55200
    AMERICAN ELEC PWR CO INCCOM02553790117,998187,600SHCallDFND2000
    AMERICAN ELEC PWR CO INCCOM0255379518,55889,200SHPutDFND289,20000
    AMERICAN EQTY INVT LIFE HLDCOM0256762064,061111,058SH DFND1111,05800
    AMERICAN EXPRESS COCOM02581610924,249174,933SH DFND1174,93300
    AMERICAN EXPRESS COCOM02581610937,470270,304SH DFND2270,30400
    AMERICAN EXPRESS COCOM0258161091,0177,340SH DFND37,34000
    AMERICAN EXPRESS COCOM02581690971,209513,700SHCallDFND2000
    AMERICAN EXPRESS COCOM02581695995,537689,200SHPutDFND2689,20000
    AMERICAN FINL GROUP INC OHIOCOM0259321041,92713,884SH DFND113,88400
    AMERICAN FINL GROUP INC OHIOCOM0259321042551,838SH DFND21,83800
    AMERICAN FINL GROUP INC OHIOCOM0259329041,70712,300SHCallDFND2000
    AMERICAN FINL GROUP INC OHIOCOM0259329542221,600SHPutDFND21,60000
    AMERICAN HOMES 4 RENTCL A02665T3062,57272,567SH DFND172,56700
    AMERICAN HOMES 4 RENTCOM02665T90636110,200SHCallDFND1000
    AMERICAN INTL GROUP INCCOM NEW02687478438,866760,142SH DFND1760,14200
    AMERICAN INTL GROUP INCCOM NEW0268747843977,761SH DFND27,76100
    AMERICAN INTL GROUP INCCOM02687490451,1611,000,600SHCallDFND2000
    AMERICAN INTL GROUP INCCOM02687495411,458224,100SHPutDFND2224,10000
    AMERICAN SUPERCONDUCTOR CORPSHS NEW03011120729556,977SH DFND156,97700
    AMERICAN TOWER CORP NEWCOM03027X10010,82142,339SH DFND142,33900
    AMERICAN TOWER CORP NEWCOM03027X900135,003528,200SHCallDFND2000
    AMERICAN TOWER CORP NEWCOM03027X95022,16086,700SHPutDFND286,70000
    AMERICAN VANGUARD CORPCOM0303719582109,400SHPutDFND29,40000
    AMERICAN VRTUAL CLOUD TECH IW EXP 04/07/202030382113116,135SH DFND116,13500
    AMERICAN VRTUAL CLOUD TECH ICOM030382905112447,600SHCallDFND2000
    AMERICAN VRTUAL CLOUD TECH ICOM030382955313,100SHPutDFND213,10000
    AMERICAN WELL CORPCL A03044L105497114,947SH DFND1114,94700
    AMERICAN WELL CORPCL A03044L10542498,067SH DFND298,06700
    AMERICAN WELL CORPCOM03044L90515235,300SHCallDFND2000
    AMERICAN WELL CORPCOM03044L95516438,000SHPutDFND238,00000
    AMERICAN WTR WKS CO INC NEWCOM0304209035,10334,300SHCallDFND2000
    AMERICAN WTR WKS CO INC NEWCOM0304209534,55230,600SHPutDFND230,60000
    AMERICAS CAR-MART INCCOM03062T1055775,734SH DFND15,73400
    AMERICAS CAR-MART INCCOM03062T1051099SH DFND29900
    AMERICAS GOLD AND SILVER CORCOM03062D1005681,990SH DFND381,99000
    AMERICAS TECHNOLOGY ACQSN COW EXP 12/31/202G0404A110120,268SH DFND120,26800
    AMERICOLD REALTY TRUST INCCOM03064D1082,60086,554SH DFND186,55400
    AMERIPRISE FINL INCCOM03076C1069,50239,979SH DFND139,97900
    AMERIPRISE FINL INCCOM03076C9065,56223,400SHCallDFND2000
    AMERIPRISE FINL INCCOM03076C9564,61119,400SHPutDFND219,40000
    AMERIS BANCORPCOM03076K1081,06826,572SH DFND126,57200
    AMERISOURCEBERGEN CORPCOM03073E1052,54718,004SH DFND118,00400
    AMERISOURCEBERGEN CORPCOM03073E90517,869126,300SHCallDFND2000
    AMERISOURCEBERGEN CORPCOM03073E9558,91363,000SHPutDFND263,00000
    AMETEK INCCOM0311001008,40576,484SH DFND176,48400
    AMETEK INCCOM0311009008,35276,000SHCallDFND2000
    AMETEK INCCOM0311009503963,600SHPutDFND23,60000
    AMGEN INCCOM03116210084,381346,820SH DFND1346,82000
    AMGEN INCCOM0311621002,1608,878SH DFND38,87800
    AMGEN INCCOM031162900117,149481,500SHCallDFND2000
    AMGEN INCCOM031162900182,475750,000SHCallDFND3000
    AMGEN INCCOM031162950127,635524,600SHPutDFND2524,60000
    AMGEN INCCOM031162950304,1251,250,000SHPutDFND31,250,00000
    AMICUS THERAPEUTICS INCCOM03152W10944541,475SH DFND141,47500
    AMICUS THERAPEUTICS INCCOM03152W10920218,830SH DFND218,83000
    AMICUS THERAPEUTICS INCCOM03152W9091,520141,500SHCallDFND2000
    AMICUS THERAPEUTICS INCCOM03152W95985479,500SHPutDFND279,50000
    AMKOR TECHNOLOGY INCCOM03165210017610,401SH DFND110,40100
    AMKOR TECHNOLOGY INCCOM03165210020812,291SH DFND212,29100
    AMKOR TECHNOLOGY INCCOM03165290056433,300SHCallDFND2000
    AMKOR TECHNOLOGY INCCOM03165295088652,300SHPutDFND252,30000
    AMMO INCCOM00175J10732885,105SH DFND185,10500
    AMMO INCCOM00175J107663172,130SH DFND2172,13000
    AMMO INCCOM00175J90716242,100SHCallDFND2000
    AMMO INCCOM00175J957457118,600SHPutDFND2118,60000
    AMN HEALTHCARE SVCS INCCOM0017441014,62042,108SH DFND142,10800
    AMN HEALTHCARE SVCS INCCOM0017449013,64233,200SHCallDFND2000
    AMN HEALTHCARE SVCS INCCOM0017449514,25738,800SHPutDFND238,80000
    AMPHASTAR PHARMACEUTICALS INCOM03209R10361217,585SH DFND117,58500
    AMPHASTAR PHARMACEUTICALS INCOM03209R90348714,000SHCallDFND2000
    AMPHENOL CORP NEWCL A0320951013,89160,440SH DFND160,44000
    AMPHENOL CORP NEWCOM0320959013,95361,400SHCallDFND2000
    AMPHENOL CORP NEWCOM0320959511,03716,100SHPutDFND216,10000
    AMPIO PHARMACEUTICALS INCCOM03209T10923136,486SH DFND1136,48600
    AMPLIFY ENERGY CORP NEWCOM03212B9031,604245,300SHCallDFND2000
    AMPLIFY ENERGY CORP NEWCOM03212B9531,447221,300SHPutDFND2221,30000
    AMPLIFY ETF TRONLIN RETL ETF03210810220,246483,073SH DFND1483,07300
    AMPLIFY ETF TRCWP ENHANCED DIV03210840934310,217SH DFND110,21700
    AMPLIFY ETF TRBLOCKCHAIN LDR03210860714,016773,110SH DFND1541,02900
    AMPLIFY ETF TRBLOCKCHAIN LDR03210860754329,963SH DFND229,96300
    AMPLIFY ETF TRINFLATION FIGHTE0321087481,76285,823SH DFND185,82300
    AMPLIFY ETF TRBLACKSWAN TECH03210875527614,801SH DFND114,80100
    AMPLIFY ETF TRTHEMATIC ALL STR03210879798261,715SH DFND161,71500
    AMPLIFY ETF TRCLEANER LIVING03210881330520,911SH DFND120,91100
    AMPLIFY ETF TRPURE JR GLD MINE03210883927415,898SH DFND115,89800
    AMPLIFY ETF TRHIGH INCOME03210884715011,837SH DFND111,83700
    AMPLIFY ETF TRSEYMOUR CANNBS0321088541,117169,224SH DFND1169,22400
    AMPLIFY ETF TRAMPLIFY EMERGING03210887027212,936SH DFND112,93600
    AMPLIFY ETF TRBLACKSWAN GRWT0321088882,968109,976SH DFND1109,97600
    AMPLIFY ETF TRCOM0321089072,973164,000SHCallDFND2000
    AMPLIFY ETF TRCOM0321089572,832156,200SHPutDFND2156,20000
    AMPLITUDE INCCOM CL A03213A10469348,461SH DFND148,46100
    AMPLITUDE INCCOM CL A03213A10468247,692SH DFND247,69200
    AMPLITUDE INCCOM03213A9042,269158,800SHCallDFND2000
    AMPLITUDE INCCOM03213A9541,06074,200SHPutDFND274,20000
    AMYLYX PHARMACEUTICALS INCCOM03237H1011,00752,308SH DFND152,30800
    AMYLYX PHARMACEUTICALS INCCOM03237H1012,452127,294SH DFND2127,29400
    AMYLYX PHARMACEUTICALS INCCOM03237H90143922,800SHCallDFND2000
    AMYLYX PHARMACEUTICALS INCCOM03237H95124812,900SHPutDFND212,90000
    AMYRIS INCCOM NEW03236M2009651,737SH DFND151,73700
    AMYRIS INCCOM03236M90018198,100SHCallDFND2000
    AMYRIS INCCOM03236M9501,284693,800SHPutDFND2693,80000
    ANALOG DEVICES INCCOM03265410526,357180,417SH DFND1180,41700
    ANALOG DEVICES INCCOM03265410526,808183,506SH DFND2183,50600
    ANALOG DEVICES INCCOM03265490552,797361,400SHCallDFND2000
    ANALOG DEVICES INCCOM03265495566,617456,000SHPutDFND2456,00000
    ANAPTYSBIO INCCOM03272410676537,680SH DFND137,68000
    ANAVEX LIFE SCIENCES CORPCOM NEW03279730016916,899SH DFND116,89900
    ANAVEX LIFE SCIENCES CORPCOM NEW032797300212,098SH DFND22,09800
    ANAVEX LIFE SCIENCES CORPCOM0327979002,111210,900SHCallDFND2000
    ANAVEX LIFE SCIENCES CORPCOM03279795054454,300SHPutDFND254,30000
    ANDERSONS INCCOM034164103682,073SH DFND12,07300
    ANDERSONS INCCOM03416410342512,874SH DFND212,87400
    ANDERSONS INCCOM0341649532447,400SHPutDFND27,40000
    ANGEL POND HOLDINGS CORPUNIT 99/99/9999G0447J110163SH DFND16300
    ANGEL POND HOLDINGS CORPUNIT 99/99/9999G0447J1104,258433,554SH DFND3433,55400
    ANGHAMI INCW EXP 02/03/202G0369L119312,127SH DFND112,12700
    ANGI INCCOM CL A NEW00183L10226658,153SH DFND158,15300
    ANGI INCCOM CL A NEW00183L102720157,250SH DFND2157,25000
    ANGI INCCOM00183L902866189,000SHCallDFND2000
    ANGI INCCOM00183L952470102,600SHPutDFND2102,60000
    ANGLOGOLD ASHANTI LIMITEDSPONSORED ADR0351282062,296155,221SH DFND1155,22100
    ANGLOGOLD ASHANTI LIMITEDSPONSORED ADR0351282062,764186,863SH DFND2186,86300
    ANGLOGOLD ASHANTI LIMITEDCOM0351289063,910264,400SHCallDFND2000
    ANGLOGOLD ASHANTI LIMITEDCOM0351289568,083546,500SHPutDFND2546,50000
    ANHEUSER BUSCH INBEV SA/NVSPONSORED ADR03524A10876514,203SH DFND114,20300
    ANHEUSER BUSCH INBEV SA/NVSPONSORED ADR03524A10824454SH DFND245400
    ANHEUSER BUSCH INBEV SA/NVCOM03524A90892117,100SHCallDFND2000
    ANHEUSER BUSCH INBEV SA/NVCOM03524A9583125,800SHPutDFND25,80000
    ANNALY CAPITAL MANAGEMENT INCOM03571040904SH DFND1400
    ANNALY CAPITAL MANAGEMENT INCOM03571040948682,243SH DFND282,24300
    ANNALY CAPITAL MANAGEMENT INCOM0357109092,084352,600SHCallDFND2000
    ANNALY CAPITAL MANAGEMENT INCOM0357109591,729292,500SHPutDFND2292,50000
    ANPAC BIO MED SCIENCE CO LTDSPONSORED ADS03635R107518,516SH DFND118,51600
    ANSYS INCCOM03662Q1059,27238,748SH DFND138,74800
    ANSYS INCCOM03662Q9054,37918,300SHCallDFND2000
    ANSYS INCCOM03662Q9556,07825,400SHPutDFND225,40000
    ANTERO MIDSTREAM CORPCOM03676B1029410,333SH DFND110,33300
    ANTERO MIDSTREAM CORPCOM03676B9021,912211,300SHCallDFND2000
    ANTERO MIDSTREAM CORPCOM03676B9521,399154,600SHPutDFND2154,60000
    ANTERO RESOURCES CORPCOM03674X10638,7201,263,280SH DFND11,263,28000
    ANTERO RESOURCES CORPCOM03674X1063,470113,201SH DFND2113,20100
    ANTERO RESOURCES CORPCOM03674X90663,5532,073,500SHCallDFND2000
    ANTERO RESOURCES CORPCOM03674X95639,1711,278,000SHPutDFND21,278,00000
    ANYWHERE REAL ESTATE INCCOM75605Y1061,668169,733SH DFND1169,73300
    ANYWHERE REAL ESTATE INCCOM75605Y106454,627SH DFND34,62700
    ANYWHERE REAL ESTATE INCCOM75605Y90642743,400SHCallDFND2000
    ANYWHERE REAL ESTATE INCCOM75605Y9561,868190,000SHPutDFND2190,00000
    ANZU SPECIAL ACQUISITIN CORPUNIT 01/27/202603737A2006601SH DFND160100
    ANZU SPECIAL ACQUISITIN CORPUNIT 01/27/202603737A2006,133624,496SH DFND3624,49600
    AON PLCSHS CL AG0403H10826,49298,234SH DFND198,23400
    AON PLCCOMG0403H90815,21056,400SHCallDFND2000
    AON PLCCOMG0403H9584,23415,700SHPutDFND215,70000
    APA CORPORATIONCOM03743Q10810,874311,570SH DFND1311,57000
    APA CORPORATIONCOM03743Q10845212,948SH DFND212,94800
    APA CORPORATIONCOM03743Q90838,2781,096,800SHCallDFND2000
    APA CORPORATIONCOM03743Q95822,060632,100SHPutDFND2632,10000
    APARTMENT INCOME REIT CORPCOM03750L1092004,811SH DFND14,81100
    APARTMENT INVT & MGMT COCL A03748R74745771,374SH DFND171,37400
    APARTMENT INVT & MGMT COCL A03748R7479915,543SH DFND215,54300
    APARTMENT INVT & MGMT COCOM03748R90713020,300SHCallDFND2000
    APARTMENT INVT & MGMT COCOM03748R9578413,200SHPutDFND213,20000
    APELLIS PHARMACEUTICALS INCCOM03753U1062,31551,188SH DFND151,18800
    APELLIS PHARMACEUTICALS INCCOM03753U1061,96243,394SH DFND243,39400
    APELLIS PHARMACEUTICALS INCCOM03753U9066,715148,500SHCallDFND2000
    APELLIS PHARMACEUTICALS INCCOM03753U9565,879130,000SHPutDFND2130,00000
    APOGEE ENTERPRISES INCCOM0375981091,73544,248SH DFND144,24800
    APOLLO COML REAL EST FIN INCCOM03762U10520319,417SH DFND119,41700
    APOLLO COML REAL EST FIN INCCOM03762U105585,583SH DFND25,58300
    APOLLO COML REAL EST FIN INCCOM03762U90532230,800SHCallDFND2000
    APOLLO COML REAL EST FIN INCCOM03762U95523322,300SHPutDFND222,30000
    APOLLO ENDOSURGERY INCCOM03767D1087219,848SH DFND119,84800
    APOLLO GLOBAL MGMT INCCOM03769M1065,101105,220SH DFND1105,22000
    APOLLO GLOBAL MGMT INCCOM03769M1062,40649,632SH DFND249,63200
    APOLLO GLOBAL MGMT INCCOM03769M90636,971762,600SHCallDFND2000
    APOLLO GLOBAL MGMT INCCOM03769M95616,992350,500SHPutDFND2350,50000
    APOLLO INVT CORPCOM NEW03761U50219518,135SH DFND118,13500
    APOLLO INVT CORPCOM NEW03761U5026536SH DFND253600
    APOLLO STRATEGIC GRWT CPTL ISHS CL AG0412A102172SH DFND17200
    APOLLO STRATEGIC GRWT CPTL ISHS CL AG0412A1023,941400,891SH DFND3400,89100
    APOLLO STRATEGIC GRWT CPTL IUNIT 99/99/9999G0412A1101,271129,205SH DFND1129,20500
    APOLLO STRATEGIC GRWT CPTL IW EXP 02/12/202G0412A1281871,112SH DFND171,11200
    APPFOLIO INCCOM CL A03783C1008779,678SH DFND19,67800
    APPFOLIO INCCOM CL A03783C10018200SH DFND220000
    APPFOLIO INCCOM03783C9006076,700SHCallDFND2000
    APPHARVEST INCCOM03783T1036518,620SH DFND118,62000
    APPHARVEST INCCOM03783T903505144,800SHCallDFND2000
    APPIAN CORPCL A03782L10176916,228SH DFND116,22800
    APPIAN CORPCOM03782L9015,697120,300SHCallDFND2000
    APPIAN CORPCOM03782L9513,32570,200SHPutDFND270,20000
    APPLE HOSPITALITY REIT INCCOM NEW03784Y20015510,547SH DFND110,54700
    APPLE HOSPITALITY REIT INCCOM03784Y9001,573107,200SHCallDFND2000
    APPLE HOSPITALITY REIT INCCOM03784Y95041428,200SHPutDFND228,20000
    APPLE INCCOM037833100402,4882,943,882SH DFND12,013,05200
    APPLE INCCOM037833100207,6821,519,033SH DFND21,519,03300
    APPLE INCCOM0378331001,3149,610SH DFND39,61000
    APPLE INCCOM0378339003,624,11926,507,600SHCallDFND2000
    APPLE INCCOM0378339503,359,36124,571,100SHPutDFND224,571,10000
    APPLIED INDL TECHNOLOGIES INCOM03820C1058979,328SH DFND19,32800
    APPLIED MATLS INCCOM0382221059,741107,070SH DFND1107,07000
    APPLIED MATLS INCCOM03822210518,262200,728SH DFND2200,72800
    APPLIED MATLS INCCOM03822290575,231826,900SHCallDFND2000
    APPLIED MATLS INCCOM03822295569,400762,800SHPutDFND2762,80000
    APPLOVIN CORPCOM CL A03831W1081,06130,793SH DFND130,79300
    APPLOVIN CORPCOM CL A03831W10855416,091SH DFND216,09100
    APPLOVIN CORPCOM03831W90810,129294,100SHCallDFND2000
    APPLOVIN CORPCOM03831W9587,143207,400SHPutDFND2207,40000
    APPTECH PMTS CORPCOM03834B3092238,209SH DFND138,20900
    APREA THERAPEUTICS INCCOM03836J1025471,959SH DFND171,95900
    APTINYX INCCOM03836N1031933,765SH DFND133,76500
    APTIV PLCSHSG6095L1091,01511,400SH DFND111,40000
    APTIV PLC5.5% CNV PFD AG6095L1173,78936,518SH DFND136,51800
    APTIV PLC5.5% CNV PFD AG6095L1173,63135,000SH DFND335,00000
    APTIV PLCCOMG6095L90915,543174,500SHCallDFND2000
    APTIV PLCCOMG6095L9597,86588,300SHPutDFND288,30000
    APTOSE BIOSCIENCES INCCOM NEW03835T2001419,400SH DFND119,40000
    AQUABOUNTY TECHNOLOGIES INCCOM NEW03842K2003118,114SH DFND118,11400
    AQUABOUNTY TECHNOLOGIES INCCOM NEW03842K20008SH DFND2800
    ARAMARKCOM03852U1061,65053,854SH DFND153,85400
    ARAMARKCOM03852U10638312,499SH DFND212,49900
    ARAMARKCOM03852U9063,780123,400SHCallDFND2000
    ARAMARKCOM03852U9562,22472,600SHPutDFND272,60000
    ARBOR REALTY TRUST INCCOM03892310813810,557SH DFND110,55700
    ARBOR REALTY TRUST INCCOM0389239082,655202,500SHCallDFND2000
    ARBOR REALTY TRUST INCCOM0389239582,688205,000SHPutDFND2205,00000
    ARBUTUS BIOPHARMA CORPCOM03879J1005319,700SH DFND119,70000
    ARBUTUS BIOPHARMA CORPCOM03879J1006222,901SH DFND222,90100
    ARBUTUS BIOPHARMA CORPCOM03879J9009033,100SHCallDFND2000
    ARBUTUS BIOPHARMA CORPCOM03879J95010338,000SHPutDFND238,00000
    ARCBEST CORPCOM03937C10592113,086SH DFND113,08600
    ARCBEST CORPCOM03937C1055047,158SH DFND27,15800
    ARCBEST CORPCOM03937C9053,82154,300SHCallDFND2000
    ARCBEST CORPCOM03937C9551,45720,700SHPutDFND220,70000
    ARCELORMITTAL SA LUXEMBOURGNY REGISTRY SH03938L20335,1311,554,449SH DFND11,554,44900
    ARCELORMITTAL SA LUXEMBOURGNY REGISTRY SH03938L2031,13450,197SH DFND250,19700
    ARCELORMITTAL SA LUXEMBOURGCOM03938L90352923,400SHCallDFND2000
    ARCELORMITTAL SA LUXEMBOURGCOM03938L9532,649117,200SHPutDFND2117,20000
    ARCH CAP GROUP LTDORDG0450A1053,50877,123SH DFND177,12300
    ARCH CAP GROUP LTDORDG0450A10548210,589SH DFND210,58900
    ARCH CAP GROUP LTDCOMG0450A90550011,000SHCallDFND2000
    ARCH CAP GROUP LTDCOMG0450A95545910,100SHPutDFND210,10000
    ARCH RESOURCES INCCL A03940R1073,22522,539SH DFND122,53900
    ARCH RESOURCES INCCL A03940R1075,19736,322SH DFND236,32200
    ARCH RESOURCES INCCOM03940R90778,127546,000SHCallDFND2000
    ARCH RESOURCES INCCOM03940R95710,05970,300SHPutDFND270,30000
    ARCHAEA ENERGY INCCOM CL A03940F1031,01865,549SH DFND165,54900
    ARCHAEA ENERGY INCCOM CL A03940F10322214,282SH DFND314,28200
    ARCHAEA ENERGY INCCOM03940F90356236,200SHCallDFND2000
    ARCHER AVIATION INCCOM CL A03945R10229896,754SH DFND196,75400
    ARCHER AVIATION INCCOM CL A03945R102319,934SH DFND29,93400
    ARCHER AVIATION INCW EXP 09/16/20203945R1104985,478SH DFND185,47800
    ARCHER AVIATION INCCOM03945R902464150,600SHCallDFND2000
    ARCHER AVIATION INCCOM03945R9524715,400SHPutDFND215,40000
    ARCHER DANIELS MIDLAND COCOM03948310298,2981,266,731SH DFND1773,24600
    ARCHER DANIELS MIDLAND COCOM0394831028100SH DFND210000
    ARCHER DANIELS MIDLAND COCOM03948390232,010412,500SHCallDFND2000
    ARCHER DANIELS MIDLAND COCOM03948395227,036348,400SHPutDFND2348,40000
    ARCHROCK INCCOM03957W10619423,481SH DFND123,48100
    ARCIMOTO INCCOM03958710023872,742SH DFND172,74200
    ARCIMOTO INCCOM03958790025076,400SHCallDFND2000
    ARCIMOTO INCCOM0395879507823,900SHPutDFND223,90000
    ARCLIGHT CLEAN TRANSITION IIUNIT 03/16/2028G0R21B1202,835280,724SH DFND1280,72400
    ARCONIC CORPORATIONCOM03966V1071,83666,211SH DFND166,21100
    ARCONIC CORPORATIONCOM03966V1071,65659,054SH DFND259,05400
    ARCONIC CORPORATIONCOM03966V9073,649130,100SHCallDFND2000
    ARCONIC CORPORATIONCOM03966V9575,369191,400SHPutDFND2191,40000
    ARCOS DORADOS HOLDINGS INCSHS CLASS -A -G0457F10730044,479SH DFND144,47900
    ARCOSA INCCOM03965310067314,486SH DFND114,48600
    ARCTOS NORTHSTAR ACQUIS CORPUNIT 99/99/9999G0477L1181,952199,430SH DFND1199,43000
    ARCTURUS THERAPEUTICS HLDGSCOM03969T10944528,295SH DFND128,29500
    ARCTURUS THERAPEUTICS HLDGSCOM03969T1091368,633SH DFND28,63300
    ARCTURUS THERAPEUTICS HLDGSCOM03969T9091,05166,800SHCallDFND2000
    ARCUS BIOSCIENCES INCCOM03969F10930712,106SH DFND112,10600
    ARCUS BIOSCIENCES INCCOM03969F90927911,000SHCallDFND2000
    ARCUS BIOSCIENCES INCCOM03969F9594,371172,500SHPutDFND2172,50000
    ARCUTIS BIOTHERAPEUTICS INCCOM03969K9081,81685,200SHCallDFND2000
    ARCUTIS BIOTHERAPEUTICS INCCOM03969K95832215,100SHPutDFND215,10000
    ARDAGH METAL PACKAGING S ASHSL0223510611418,664SH DFND118,66400
    ARDAGH METAL PACKAGING S ACOML0223590615725,700SHCallDFND2000
    ARDAGH METAL PACKAGING S ACOML022359569816,000SHPutDFND216,00000
    ARDELYX INCCOM039697107813,057SH DFND113,05700
    ARDELYX INCCOM03969710711,053SH DFND21,05300
    ARDELYX INCCOM0396979071118,200SHCallDFND2000
    ARES ACQUISITION CORPORATIONCOM CL AG3303210613,4201,365,174SH DFND1719,79500
    ARES ACQUISITION CORPORATIONCOM CL AG330321062,446248,848SH DFND3248,84800
    ARES ACQUISITION CORPORATIONUNIT 99/99/9999G3303211489190,372SH DFND190,37200
    ARES ACQUISITION CORPORATIONW EXP 99/99/999G3303212228120,862SH DFND1120,86200
    ARES CAPITAL CORPCOM04010L10380144,666SH DFND144,66600
    ARES CAPITAL CORPCOM04010L9036,570366,400SHCallDFND2000
    ARES CAPITAL CORPCOM04010L9532,605145,300SHPutDFND2145,30000
    ARES COML REAL ESTATE CORPCOM04013V90845537,200SHCallDFND2000
    ARES MANAGEMENT CORPORATIONCL A COM STK03990B1011,03218,142SH DFND118,14200
    ARES MANAGEMENT CORPORATIONCOM03990B90174513,100SHCallDFND2000
    ARES MANAGEMENT CORPORATIONCOM03990B9512274,000SHPutDFND24,00000
    ARGAN INCCOM04010E1093639,730SH DFND19,73000
    ARGENX SECOM04016X90111,06329,200SHCallDFND2000
    ARGENX SECOM04016X9515,68315,000SHPutDFND215,00000
    ARIS WATER SOLUTIONS INCCLASS A COM04041L10640524,295SH DFND124,29500
    ARISTA NETWORKS INCCOM0404131061,32814,171SH DFND114,17100
    ARISTA NETWORKS INCCOM0404131062,73429,166SH DFND229,16600
    ARISTA NETWORKS INCCOM04041390621,954234,200SHCallDFND2000
    ARISTA NETWORKS INCCOM04041395610,939116,700SHPutDFND2116,70000
    ARK ETF TRINNOVATION ETF00214Q10416,505413,871SH DFND1378,94200
    ARK ETF TRINNOVATION ETF00214Q10427,044678,135SH DFND2678,13500
    ARK ETF TRAUTNMUS TECHNLGY00214Q2032,16343,184SH DFND143,18400
    ARK ETF TRAUTNMUS TECHNLGY00214Q20395319,029SH DFND219,02900
    ARK ETF TRGENOMIC REV ETF00214Q30249615,756SH DFND115,75600
    ARK ETF TRGENOMIC REV ETF00214Q30287927,904SH DFND227,90400
    ARK ETF TRNEXT GNRTN INTER00214Q4011,24225,352SH DFND125,35200
    ARK ETF TRNEXT GNRTN INTER00214Q4012,25746,065SH DFND246,06500
    ARK ETF TR3D PRINTING ETF00214Q5003,456163,153SH DFND1108,99700
    ARK ETF TRISRAEL INOVATE00214Q60982544,335SH DFND144,33500
    ARK ETF TRFINTECH INNOVA00214Q7081,50797,260SH DFND197,26000
    ARK ETF TRFINTECH INNOVA00214Q7084,260274,985SH DFND2274,98500
    ARK ETF TRARK SPACE EXPL00214Q80713610,114SH DFND110,11400
    ARK ETF TRARK SPACE EXPL00214Q80729922,300SH DFND222,30000
    ARK ETF TRTRANSPARENCY ETF00214Q88014912,024SH DFND112,02400
    ARK ETF TRCOM00214Q9011,53831,400SHCallDFND2000
    ARK ETF TRCOM00214Q90218,765595,900SHCallDFND2000
    ARK ETF TRCOM00214Q90311,253224,700SHCallDFND2000
    ARK ETF TRCOM00214Q904273,9886,870,300SHCallDFND2000
    ARK ETF TRCOM00214Q90736927,500SHCallDFND2000
    ARK ETF TRCOM00214Q9084,842312,600SHCallDFND2000
    ARK ETF TRCOM00214Q9514,45891,000SHPutDFND291,00000
    ARK ETF TRCOM00214Q95210,792342,700SHPutDFND2342,70000
    ARK ETF TRCOM00214Q9534068,100SHPutDFND28,10000
    ARK ETF TRCOM00214Q954324,8748,146,300SHPutDFND28,146,30000
    ARK ETF TRCOM00214Q95741430,800SHPutDFND230,80000
    ARK ETF TRCOM00214Q958966,200SHPutDFND16,20000
    ARK ETF TRCOM00214Q9588,614556,100SHPutDFND2556,10000
    ARLO TECHNOLOGIES INCCOM04206A10110316,419SH DFND116,41900
    ARLO TECHNOLOGIES INCCOM04206A1011236SH DFND223600
    ARLO TECHNOLOGIES INCCOM04206A90120432,600SHCallDFND2000
    ARMOUR RESIDENTIAL REIT INCCOM NEW04231550736952,359SH DFND252,35900
    ARMOUR RESIDENTIAL REIT INCCOM04231590726137,100SHCallDFND2000
    ARMOUR RESIDENTIAL REIT INCCOM04231595761287,000SHPutDFND287,00000
    ARMSTRONG WORLD INDS INC NEWCOM04247X10299313,247SH DFND113,24700
    ARMSTRONG WORLD INDS INC NEWCOM04247X10215201SH DFND220100
    ARQIT QUANTUM INCORDINARY SHARESG0567U1017812,430SH DFND112,43000
    ARQIT QUANTUM INCORDINARY SHARESG0567U101017SH DFND21700
    ARQIT QUANTUM INCW EXP 11/02/202G0567U1193543,221SH DFND143,22100
    ARQIT QUANTUM INCCOMG0567U90129847,300SHCallDFND2000
    ARRAY TECHNOLOGIES INCCOM SHS04271T10054749,653SH DFND149,65300
    ARRAY TECHNOLOGIES INCCOM SHS04271T10010931SH DFND393100
    ARRAY TECHNOLOGIES INCCOM04271T9002,854259,200SHCallDFND2000
    ARRAY TECHNOLOGIES INCCOM04271T9501,528138,800SHPutDFND2138,80000
    ARRIVAL GROUPSHSL0423Q1081811,621SH DFND111,62100
    ARRIVAL GROUPSHSL0423Q1088453,481SH DFND253,48100
    ARRIVAL GROUPCOML0423Q908233147,700SHCallDFND2000
    ARRIVAL GROUPCOML0423Q958170107,300SHPutDFND2107,30000
    ARROW ELECTRS INCCOM0427351001,42012,671SH DFND112,67100
    ARROW ELECTRS INCCOM0427351001581,413SH DFND21,41300
    ARROW ELECTRS INCCOM0427359004484,000SHCallDFND2000
    ARROW ELECTRS INCCOM0427359504153,700SHPutDFND23,70000
    ARROW ETF TRARROW DJ GLB YLD04273H10420615,854SH DFND115,85400
    ARROW INVTS TRRESV CAP ETF0427657191,55215,650SH DFND115,65000
    ARROWHEAD PHARMACEUTICALS INCOM04280A1001,95552,399SH DFND152,39900
    ARROWHEAD PHARMACEUTICALS INCOM04280A10092926,379SH DFND226,37900
    ARROWHEAD PHARMACEUTICALS INCOM04280A9001,52143,200SHCallDFND2000
    ARROWHEAD PHARMACEUTICALS INCOM04280A9503,06086,900SHPutDFND286,90000
    ARROWROOT ACQUISITION CORPUNIT 01/29/202604282M20147748,461SH DFND148,46100
    ARTEMIS STRATEGIC INVT CORPCOM CL A04303A10314114,155SH DFND114,15500
    ARTISAN PARTNERS ASSET MGMTCL A04316A10870519,818SH DFND119,81800
    ARTISAN PARTNERS ASSET MGMTCOM04316A9082,86380,500SHCallDFND2000
    ARTIVION INCCOM22890310033217,561SH DFND117,56100
    ARVINAS INCCOM04335A9051,46934,900SHCallDFND2000
    ASANA INCCL A04342Y1042,448139,221SH DFND1139,22100
    ASANA INCCL A04342Y1041,75199,592SH DFND299,59200
    ASANA INCCOM04342Y9046,600375,400SHCallDFND2000
    ASANA INCCOM04342Y9548,296471,900SHPutDFND2471,90000
    ASBURY AUTOMOTIVE GROUP INCCOM0434361043,94923,320SH DFND123,32000
    ASBURY AUTOMOTIVE GROUP INCCOM0434361045703,367SH DFND23,36700
    ASBURY AUTOMOTIVE GROUP INCCOM0434369043732,200SHCallDFND2000
    ASBURY AUTOMOTIVE GROUP INCCOM0434369542,26913,400SHPutDFND213,40000
    ASCENDIS PHARMA A/SSPONSORED ADR04351P1011,17512,643SH DFND112,64300
    ASCENDIS PHARMA A/SSPONSORED ADR04351P1012,59527,911SH DFND227,91100
    ASCENDIS PHARMA A/SCOM04351P9016,01564,700SHCallDFND2000
    ASCENDIS PHARMA A/SCOM04351P9513,42136,800SHPutDFND236,80000
    ASE TECHNOLOGY HLDG CO LTDSPONSORED ADS00215W1004,135804,760SH DFND1804,76000
    ASENSUS SURGICAL INCCOM04367G1032768,906SH DFND168,90600
    ASENSUS SURGICAL INCCOM04367G1030348SH DFND234800
    ASGN INCCOM00191U1021,44315,993SH DFND115,99300
    ASGN INCCOM00191U10272793SH DFND279300
    ASHFORD HOSPITALITY TR INCCOM SHS04410386932454,175SH DFND154,17500
    ASHFORD HOSPITALITY TR INCCOM SHS04410386932854,841SH DFND254,84100
    ASHFORD HOSPITALITY TR INCCOM04410390931552,600SHCallDFND2000
    ASHFORD HOSPITALITY TR INCCOM04410395941068,500SHPutDFND268,50000
    ASHLAND GLOBAL HLDGS INCCOM0441861041,86418,093SH DFND118,09300
    ASML HOLDING N VN Y REGISTRY SHSN070592101,5703,300SH DFND13,30000
    ASML HOLDING N VN Y REGISTRY SHSN070592103062SH DFND26200
    ASML HOLDING N VCOMN070599008,99418,900SHCallDFND2000
    ASML HOLDING N VCOMN070599506,42413,500SHPutDFND213,50000
    ASPEN AEROGELS INCCOM04523Y10519719,907SH DFND119,90700
    ASPEN AEROGELS INCCOM04523Y105464,657SH DFND24,65700
    ASPEN AEROGELS INCCOM04523Y90548649,200SHCallDFND2000
    ASPEN AEROGELS INCCOM04523Y95511411,500SHPutDFND211,50000
    ASPEN TECHNOLOGY INCCOM29109X1067,27639,610SH DFND139,61000
    ASPEN TECHNOLOGY INCCOM29109X9065012,730SHCallDFND2000
    ASSEMBLY BIOSCIENCES INCCOM0453961086430,452SH DFND130,45200
    ASSURANT INCCOM04621X1088,24047,674SH DFND147,67400
    ASSURANT INCCOM04621X10831177SH DFND217700
    ASSURANT INCCOM04621X9084,59826,600SHCallDFND2000
    ASSURED GUARANTY LTDCOMG0585R1067,413132,877SH DFND1132,87700
    ASSURED GUARANTY LTDCOMG0585R9062,37742,600SHCallDFND2000
    ASSURED GUARANTY LTDCOMG0585R9561,33924,000SHPutDFND224,00000
    AST SPACEMOBILE INCCOM00217D9001,184188,600SHCallDFND2000
    AST SPACEMOBILE INCCOM00217D95020232,200SHPutDFND232,20000
    ASTRA SPACE INCCOM CL A04634X1034433,551SH DFND133,55100
    ASTRA SPACE INCCOM CL A04634X1034433,598SH DFND233,59800
    ASTRA SPACE INCCOM04634X9036046,100SHCallDFND2000
    ASTRA SPACE INCCOM04634X9537457,200SHPutDFND257,20000
    ASTRAZENECA PLCSPONSORED ADR0463531082,87043,445SH DFND143,44500
    ASTRAZENECA PLCSPONSORED ADR0463531082,55938,728SH DFND238,72800
    ASTRAZENECA PLCCOM04635390828,410430,000SHCallDFND2000
    ASTRAZENECA PLCCOM0463539587,261109,900SHPutDFND2109,90000
    ASTREA ACQUISITION CORPCOM CL A04637C1063311SH DFND131100
    ASTREA ACQUISITION CORPCOM CL A04637C1066,632678,149SH DFND3678,14900
    ASTREA ACQUISITION CORPW EXP 01/28/20204637C11410128,142SH DFND1128,14200
    ASTROTECH CORPCOM NEW046484200920,446SH DFND120,44600
    AT&T INCCOM00206R102124,6045,944,868SH DFND13,740,95600
    AT&T INCCOM00206R10221,5381,027,579SH DFND21,027,57900
    AT&T INCCOM00206R102291,401SH DFND31,40100
    AT&T INCCOM00206R902252,71212,052,000SHCallDFND2000
    AT&T INCCOM00206R95291,1494,346,900SHPutDFND24,346,90000
    ATARA BIOTHERAPEUTICS INCCOM04651310717622,653SH DFND122,65300
    ATARA BIOTHERAPEUTICS INCCOM046513107192,493SH DFND22,49300
    ATARA BIOTHERAPEUTICS INCCOM04651390712215,600SHCallDFND2000
    ATEA PHARMACEUTICALS INCCOM04683R10613518,972SH DFND118,97200
    ATEA PHARMACEUTICALS INCCOM04683R9061,250176,100SHCallDFND2000
    ATEA PHARMACEUTICALS INCCOM04683R9568211,500SHPutDFND211,50000
    ATERIAN INCCOM02156U1012812,883SH DFND112,88300
    ATERIAN INCCOM02156U901936433,500SHCallDFND2000
    ATERIAN INCCOM02156U951303140,300SHPutDFND2140,30000
    ATHERSYS INC NEWCOM04744L10648186,076SH DFND1186,07600
    ATHIRA PHARMA INCCOM04746L10420567,244SH DFND167,24400
    ATHLON ACQUISITION CORPCOM CL A04748A1062,259230,058SH DFND1116,02100
    ATHLON ACQUISITION CORPUNIT 01/12/202604748A20511111,228SH DFND111,22800
    ATI PHYSICAL THERAPY INCCOM CL A00216W10910574,361SH DFND174,36100
    ATI PHYSICAL THERAPY INCW EXP 08/10/20200216W117960,569SH DFND160,56900
    ATI PHYSICAL THERAPY INCCOM00216W9093122,000SHCallDFND2000
    ATKORE INCCOM0476491083,14837,919SH DFND137,91900
    ATKORE INCCOM0476499083,48642,000SHCallDFND2000
    ATKORE INCCOM0476499581,78521,500SHPutDFND221,50000
    ATLANTIC COASTAL ACQUISTN COCLASS A COM04845310410010,190SH DFND110,19000
    ATLANTICA SUSTAINABLE INFR PSHSG0751N10359518,434SH DFND118,43400
    ATLANTICA SUSTAINABLE INFR PCOMG0751N9032,94991,400SHCallDFND2000
    ATLANTICA SUSTAINABLE INFR PCOMG0751N95349715,400SHPutDFND215,40000
    ATLAS AIR WORLDWIDE HLDGS INCOM NEW04916420595415,466SH DFND115,46600
    ATLAS AIR WORLDWIDE HLDGS INCOM NEW0491642054737,658SH DFND27,65800
    ATLAS AIR WORLDWIDE HLDGS INCOM0491649053,01148,800SHCallDFND2000
    ATLAS AIR WORLDWIDE HLDGS INCOM0491649552,01832,700SHPutDFND232,70000
    ATLAS CORPSHARESY0436Q10910810,072SH DFND110,07200
    ATLAS CORPSHARESY0436Q10935533,172SH DFND233,17200
    ATLAS CORPCOMY0436Q9091,246116,300SHCallDFND2000
    ATLAS CORPCOMY0436Q95995288,900SHPutDFND288,90000
    ATLAS CREST INVESTMENT CORPCOM CL A049287105333,378SH DFND13,37800
    ATLAS CREST INVESTMENT CORPCOM CL A0492871053,566363,526SH DFND3363,52600
    ATLAS CREST INVESTMENT CORPW EXP 02/03/202049287113752,618SH DFND152,61800
    ATLASSIAN CORP PLCCL AG062421043,69619,722SH DFND119,72200
    ATLASSIAN CORP PLCCL AG062421049,17148,939SH DFND248,93900
    ATLASSIAN CORP PLCCOMG0624290431,708169,200SHCallDFND2000
    ATLASSIAN CORP PLCCOMG0624295440,553216,400SHPutDFND2216,40000
    ATMOS ENERGY CORPCOM0495609051,53613,700SHCallDFND2000
    ATOMERA INCCOM04965B90016517,600SHCallDFND2000
    ATOSSA THERAPEUTICS INCCOM04962H5068275,318SH DFND175,31800
    ATOSSA THERAPEUTICS INCCOM04962H50643,969SH DFND23,96900
    ATOSSA THERAPEUTICS INCCOM04962H9062927,000SHCallDFND2000
    ATYR PHARMA INCCOM NEW0021202022910,157SH DFND110,15700
    AUDDIA INCCOM05072K1071213,243SH DFND113,24300
    AURINIA PHARMACEUTICALS INCCOM05156V1023,069305,335SH DFND1305,33500
    AURINIA PHARMACEUTICALS INCCOM05156V1022,852283,761SH DFND2283,76100
    AURINIA PHARMACEUTICALS INCCOM05156V9026,721668,800SHCallDFND2000
    AURINIA PHARMACEUTICALS INCCOM05156V9521,845183,600SHPutDFND2183,60000
    AURORA ACQUISITION CORPCLASS A ORD SHSG0698L1032,499255,221SH DFND3255,22100
    AURORA ACQUISITION CORPW EXP 03/02/202G0698L129960,203SH DFND160,20300
    AURORA CANNABIS INCCOM05156X884346262,299SH DFND1262,29900
    AURORA CANNABIS INCCOM05156X884243184,301SH DFND3184,30100
    AURORA CANNABIS INCCOM05156X9041,4201,075,900SHCallDFND2000
    AURORA CANNABIS INCCOM05156X954143108,700SHPutDFND2108,70000
    AURORA INNOVATION INCCLASS A COM051774107605316,901SH DFND1316,90100
    AURORA INNOVATION INCCLASS A COM051774107158,078SH DFND28,07800
    AURORA INNOVATION INCW EXP 11/03/20205177411549123,576SH DFND1123,57600
    AURORA INNOVATION INCCOM051774907299156,300SHCallDFND2000
    AURORA INNOVATION INCCOM0517749577740,300SHPutDFND240,30000
    AUSTERLITZ ACQUISITION CORPSHS CL AG0633D1093,775387,207SH DFND3387,20700
    AUSTERLITZ ACQUISITION CORPW EXP 02/19/202G0633D12529105,227SH DFND1105,22700
    AUSTERLITZ ACQUISITION CORPCOM CL AG0633U10116,2021,661,769SH DFND1831,36600
    AUSTERLITZ ACQUISITION CORPCOM CL AG0633U1012,913298,733SH DFND3298,73300
    AUSTERLITZ ACQUISITION CORPUNIT 99/99/9999G0633U11983285,179SH DFND185,17900
    AUSTERLITZ ACQUISITION CORPW EXP 02/19/202G0633U12724199,236SH DFND1199,23600
    AUSTIN GOLD CORPCOM05223F1062211,972SH DFND111,97200
    AUTHENTIC EQUITY ACQUISTN COCL A SHSG066071081,662168,743SH DFND1120,08800
    AUTHENTIC EQUITY ACQUISTN COUNIT 10/31/2027G0660711633533,870SH DFND133,87000
    AUTODESK INCCOM05276910612,31771,628SH DFND171,62800
    AUTODESK INCCOM05276990623,937139,200SHCallDFND2000
    AUTODESK INCCOM05276995628,769167,300SHPutDFND2167,30000
    AUTOHOME INCCOM05278C90714,296363,500SHCallDFND2000
    AUTOHOME INCCOM05278C95797524,800SHPutDFND224,80000
    AUTOLIV INCCOM05280010985211,907SH DFND111,90700
    AUTOLIV INCCOM0528009094,20158,700SHCallDFND2000
    AUTOLUS THERAPEUTICS PLCSPON ADS05280R1004214,717SH DFND114,71700
    AUTOMATIC DATA PROCESSING INCOM05301510320,25696,441SH DFND196,44100
    AUTOMATIC DATA PROCESSING INCOM05301590329,280139,400SHCallDFND2000
    AUTOMATIC DATA PROCESSING INCOM05301595335,161167,400SHPutDFND2167,40000
    AUTONATION INCCOM05329W1026,13454,886SH DFND154,88600
    AUTONATION INCCOM05329W1023,74633,519SH DFND233,51900
    AUTONATION INCCOM05329W9023,37530,200SHCallDFND2000
    AUTONATION INCCOM05329W95212,774114,300SHPutDFND2114,30000
    AUTOWEB INCCOM05335B100514,236SH DFND114,23600
    AUTOZONE INCCOM053332102900419SH DFND141900
    AUTOZONE INCCOM05333290274,36034,600SHCallDFND2000
    AUTOZONE INCCOM05333295265,97830,700SHPutDFND230,70000
    AVADEL PHARMACEUTICALS PLCSPONSORED ADR05337M1048133,220SH DFND133,22000
    AVADEL PHARMACEUTICALS PLCCOM05337M9046526,600SHCallDFND2000
    AVADEL PHARMACEUTICALS PLCCOM05337M9545522,600SHPutDFND222,60000
    AVALARA INCCOM05338G1068,858125,463SH DFND1125,46300
    AVALARA INCCOM05338G106991,400SH DFND21,40000
    AVALARA INCCOM05338G90629,144412,800SHCallDFND2000
    AVALARA INCCOM05338G9569,573135,600SHPutDFND2135,60000
    AVALONBAY CMNTYS INCCOM0534841011,4107,261SH DFND17,26100
    AVALONBAY CMNTYS INCCOM0534841012911,500SH DFND21,50000
    AVALONBAY CMNTYS INCCOM05348490157,187294,400SHCallDFND2000
    AVALONBAY CMNTYS INCCOM0534849514,66224,000SHPutDFND224,00000
    AVANTI ACQUISITION CORPSHS CL AG0682V1098,556863,381SH DFND1798,35900
    AVANTI ACQUISITION CORPSHS CL AG0682V10986286,961SH DFND386,96100
    AVANTI ACQUISITION CORPW EXP 99/99/999G0682V1257106,620SH DFND1106,62000
    AVANTOR INCCOM05352A10050916,363SH DFND116,36300
    AVANTOR INCCOM05352A10002SH DFND3200
    AVANTOR INCCOM05352A90014,014450,600SHCallDFND2000
    AVANTOR INCCOM05352A9502,08166,900SHPutDFND266,90000
    AVAYA HLDGS CORPCOM05351X101543242,295SH DFND1242,29500
    AVAYA HLDGS CORPCOM05351X101188,000SH DFND28,00000
    AVAYA HLDGS CORPCOM05351X9011,137507,800SHCallDFND2000
    AVAYA HLDGS CORPCOM05351X9513,3481,494,700SHPutDFND21,494,70000
    AVAYA HLDGS CORPNOTE 2.250% 6/105351XAB76,8907,200,000SH DFND37,200,00000
    AVEPOINT INCCOM CL A05360410412027,601SH DFND127,60100
    AVEPOINT INCCOM053604904525120,900SHCallDFND2000
    AVEPOINT INCCOM05360495427864,100SHPutDFND264,10000
    AVERY DENNISON CORPCOM0536111094,17925,818SH DFND125,81800
    AVERY DENNISON CORPCOM0536119091,76410,900SHCallDFND2000
    AVID BIOSERVICES INCCOM05368M10635523,270SH DFND123,27000
    AVIDITY BIOSCIENCES INCCOM05370A10866645,821SH DFND145,82100
    AVIDXCHANGE HOLDINGS INCCOM05368X10221234,546SH DFND134,54600
    AVIDXCHANGE HOLDINGS INCCOM05368X102233,800SH DFND23,80000
    AVIDXCHANGE HOLDINGS INCCOM05368X9527311,900SHPutDFND211,90000
    AVIENT CORPORATIONCOM05368V1061,15528,820SH DFND128,82000
    AVIENT CORPORATIONCOM05368V10616408SH DFND240800
    AVIS BUDGET GROUPCOM05377410519,622133,411SH DFND1133,41100
    AVIS BUDGET GROUPCOM05377410588600SH DFND260000
    AVIS BUDGET GROUPCOM0537749057,91353,800SHCallDFND2000
    AVIS BUDGET GROUPCOM05377495541,138279,700SHPutDFND2279,70000
    AVNET INCCOM0538071031643,836SH DFND13,83600
    AVNET INCCOM05380710389320,825SH DFND220,82500
    AVNET INCCOM0538079032024,700SHCallDFND2000
    AVNET INCCOM0538079531,42833,300SHPutDFND233,30000
    AVROBIO INCCOM05455M1001314,316SH DFND114,31600
    AXALTA COATING SYS LTDCOMG0750C1081,68276,055SH DFND176,05500
    AXALTA COATING SYS LTDCOMG0750C1081,18153,407SH DFND253,40700
    AXALTA COATING SYS LTDCOMG0750C9082,472111,800SHCallDFND2000
    AXALTA COATING SYS LTDCOMG0750C9581,92487,000SHPutDFND287,00000
    AXCELIS TECHNOLOGIES INCCOM NEW05454020884815,462SH DFND115,46200
    AXCELIS TECHNOLOGIES INCCOM NEW054540208901,640SH DFND21,64000
    AXCELIS TECHNOLOGIES INCCOM0545409083,48863,600SHCallDFND2000
    AXCELIS TECHNOLOGIES INCCOM05454095891016,600SHPutDFND216,60000
    AXIS CAP HLDGS LTDSHSG0692U10960610,612SH DFND110,61200
    AXIS CAP HLDGS LTDCOMG0692U9092634,600SHCallDFND2000
    AXOGEN INCCOM05463X10619623,954SH DFND123,95400
    AXON ENTERPRISE INCCOM05464C1011,94520,871SH DFND120,87100
    AXON ENTERPRISE INCCOM05464C1013,31635,589SH DFND235,58900
    AXON ENTERPRISE INCCOM05464C9015,06854,400SHCallDFND2000
    AXON ENTERPRISE INCCOM05464C9518,11587,100SHPutDFND287,10000
    AXONICS INCCOM05465P10193716,534SH DFND116,53400
    AXONICS INCCOM05465P1012,88350,878SH DFND250,87800
    AXONICS INCCOM05465P95125,377447,800SHPutDFND2447,80000
    AXSOME THERAPEUTICS INCCOM05464T1041,13029,516SH DFND129,51600
    AXSOME THERAPEUTICS INCCOM05464T10447412,379SH DFND212,37900
    AXSOME THERAPEUTICS INCCOM05464T90411,574302,200SHCallDFND2000
    AXSOME THERAPEUTICS INCCOM05464T9549,843257,000SHPutDFND2257,00000
    AZEK CO INCCL A05478C1051,751104,608SH DFND1104,60800
    AZEK CO INCCL A05478C10546127,512SH DFND227,51200
    AZEK CO INCCOM05478C9052,134127,500SHCallDFND2000
    AZEK CO INCCOM05478C95535721,300SHPutDFND221,30000
    AZENTA INCCOM1143401028,119112,606SH DFND1112,60600
    AZENTA INCCOM1143409021,26217,500SHCallDFND2000
    AZUL S ASPONSR ADR PFD05501U1066,727947,461SH DFND1947,46100
    AZUL S ASPONSR ADR PFD05501U1063412SH DFND241200
    AZUL S ACOM05501U9068211,500SHCallDFND2000
    AZZ INCCOM00247410448111,776SH DFND111,77600
    B & G FOODS INC NEWCOM05508R10635514,908SH DFND114,90800
    B & G FOODS INC NEWCOM05508R9065,258221,100SHCallDFND2000
    B & G FOODS INC NEWCOM05508R9562,14790,300SHPutDFND290,30000
    B. RILEY FINANCIAL INCCOM05580M1084109,713SH DFND19,71300
    B. RILEY FINANCIAL INCCOM05580M90845610,800SHCallDFND2000
    B. RILEY FINANCIAL INCCOM05580M9582,10449,800SHPutDFND249,80000
    B2GOLD CORPCOM11777Q209354104,338SH DFND1104,33800
    B2GOLD CORPCOM11777Q2096820,095SH DFND220,09500
    B2GOLD CORPCOM11777Q2097421,798SH DFND321,79800
    B2GOLD CORPCOM11777Q909844249,000SHCallDFND2000
    B2GOLD CORPCOM11777Q95932696,100SHPutDFND296,10000
    BADGER METER INCCOM0565251086838,449SH DFND18,44900
    BAIDU INCSPON ADR REP A05675210836,089242,648SH DFND1242,64800
    BAIDU INCSPON ADR REP A0567521082701,816SH DFND21,81600
    BAIDU INCCOM056752908140,684945,900SHCallDFND2000
    BAIDU INCCOM05675295883,884564,000SHPutDFND2564,00000
    BAKER HUGHES COMPANYCL A05722G10037713,072SH DFND113,07200
    BAKER HUGHES COMPANYCOM05722G90016,840583,300SHCallDFND2000
    BAKER HUGHES COMPANYCOM05722G9504,172144,500SHPutDFND2144,50000
    BAKKT HOLDINGS INCCOM CL A05759B1072913,947SH DFND113,94700
    BAKKT HOLDINGS INCW EXP 10/25/20205759B115710,473SH DFND110,47300
    BAKKT HOLDINGS INCCOM05759B907620295,100SHCallDFND2000
    BAKKT HOLDINGS INCCOM05759B95713061,700SHPutDFND261,70000
    BALCHEM CORPCOM0576652001,45211,188SH DFND111,18800
    BALL CORPCOM0584981062,14131,138SH DFND131,13800
    BALL CORPCOM0584981065,75583,691SH DFND283,69100
    BALL CORPCOM05849890621,876318,100SHCallDFND2000
    BALL CORPCOM05849895627,934406,200SHPutDFND2406,20000
    BALLARD PWR SYS INC NEWCOM05858610861297,179SH DFND197,17900
    BALLARD PWR SYS INC NEWCOM05858610837860,052SH DFND260,05200
    BALLARD PWR SYS INC NEWCOM0585861081,498237,813SH DFND3237,81300
    BALLARD PWR SYS INC NEWCOM0585869081,106175,600SHCallDFND2000
    BALLARD PWR SYS INC NEWCOM058586958818129,800SHPutDFND2129,80000
    BALLYS CORPORATIONCOM05875B1064,797242,525SH DFND1242,52500
    BALLYS CORPORATIONCOM05875B1063,725188,324SH DFND2188,32400
    BALLYS CORPORATIONCOM05875B90689845,400SHCallDFND2000
    BALLYS CORPORATIONCOM05875B9567,647386,600SHPutDFND2386,60000
    BANC OF CALIFORNIA INCCOM05990K10651929,447SH DFND129,44700
    BANCO BILBAO VIZCAYA ARGENTASPONSORED ADR05946K10118,3314,055,509SH DFND14,055,50900
    BANCO BRADESCO S ASP ADR PFD NEW0594603032,136655,213SH DFND1655,21300
    BANCO BRADESCO S ASP ADR PFD NEW059460303663203,378SH DFND2203,37800
    BANCO BRADESCO S ASPONSORED ADR05946040217463,472SH DFND163,47200
    BANCO BRADESCO S ACOM0594609033,9321,206,050SHCallDFND2000
    BANCO BRADESCO S ACOM0594609533,5941,102,570SHPutDFND21,102,57000
    BANCO SANTANDER BRASIL S AADS REP 1 UNIT05967A1072,917531,243SH DFND1531,24300
    BANCO SANTANDER S.A.ADR05964H10518,9936,783,365SH DFND16,783,36500
    BANCOLOMBIA S ASPON ADR PREF05968L1021,28041,523SH DFND141,52300
    BANDWIDTH INCCOM CL A05988J10351727,453SH DFND127,45300
    BANDWIDTH INCCOM CL A05988J10350126,605SH DFND226,60500
    BANDWIDTH INCCOM05988J9031,84698,100SHCallDFND2000
    BANDWIDTH INCNOTE 0.250% 3/005988JAB96961,000,000SH DFND11,000,00000
    BANK HAWAII CORPCOM0625409094846,500SHCallDFND2000
    BANK HAWAII CORPCOM0625409592233,000SHPutDFND23,00000
    BANK MONTREAL QUECOM0636711017978,287SH DFND18,28700
    BANK MONTREAL QUECOM0636711011,04810,896SH DFND310,89600
    BANK MONTREAL QUECOM06367190115,964166,000SHCallDFND2000
    BANK MONTREAL QUECOM0636719515,53057,500SHPutDFND257,50000
    BANK NEW YORK MELLON CORPCOM0640581003167,568SH DFND17,56800
    BANK NEW YORK MELLON CORPCOM0640581006,671159,926SH DFND2159,92600
    BANK NEW YORK MELLON CORPCOM0640589008,726209,200SHCallDFND2000
    BANK NEW YORK MELLON CORPCOM06405895014,999359,600SHPutDFND2359,60000
    BANK NOVA SCOTIA B CCOM0641491071,32222,333SH DFND122,33300
    BANK NOVA SCOTIA B CCOM06414910784514,278SH DFND214,27800
    BANK NOVA SCOTIA B CCOM0641491078,887150,091SH DFND3150,09100
    BANK NOVA SCOTIA B CCOM0641499078,414142,100SHCallDFND2000
    BANK NOVA SCOTIA B CCOM0641499571,30322,000SHPutDFND222,00000
    BANK OF MONTREALCALL LKD 410636795751,270189,889SH DFND1189,88900
    BANK OF MONTREALCAL LKD 410636795831,26133,203SH DFND133,20300
    BANK OF MONTREALNT LKD 410636795913287,730SH DFND17,73000
    BANK OF MONTREALMCROSECTR 3XINVR06367962544027,312SH DFND127,31200
    BANK OF MONTREALMICRSCTR GLD 3X06367964131616,622SH DFND116,62200
    BANK OF MONTREALBIG OIL 3X LEV06367V1054,52613,883SH DFND113,88300
    BANK OF MONTREALMICROSECTORS FAN06367V2042,02531,046SH DFND131,04600
    BANK OF MONTREALBIG OIL INDX 3X06367V3035335,970SH DFND15,97000
    BANK OZKCOM06417N1033,30688,095SH DFND188,09500
    BANK OZKCOM06417N1031493,977SH DFND23,97700
    BANK OZKCOM06417N90388623,600SHCallDFND2000
    BANK OZKCOM06417N95352914,100SHPutDFND214,10000
    BANKUNITED INCCOM06652K1033,952111,097SH DFND1111,09700
    BANKUNITED INCCOM06652K103128SH DFND22800
    BAOZUN INCSPONSORED ADR06684L1032,648242,072SH DFND1242,07200
    BAOZUN INCCOM06684L9033,599329,000SHCallDFND2000
    BAOZUN INCCOM06684L95319818,100SHPutDFND218,10000
    BARCLAYS BANK PLCDJUBS CMDT ETN3606738C77826,010747,413SH DFND1747,41300
    BARCLAYS BANK PLCIPSPGS TTL ETN06738C7941,10146,281SH DFND146,28100
    BARCLAYS BANK PLCETN DJUBSLEAD 3806739H2634099,858SH DFND19,85800
    BARCLAYS BANK PLCETN DJUBSCOCO 3806739H31377931,364SH DFND131,36400
    BARCLAYS BANK PLCIPTH PURE BRD06740P1144,27193,025SH DFND193,02500
    BARCLAYS BANK PLCIPTH CRUDE OIL06740P22116,765488,773SH DFND1488,77300
    BARCLAYS BANK PLCIPTH CRUDE OIL06740P22193627,300SH DFND227,30000
    BARCLAYS BANK PLCIPATH SHILR CAPE06742A6692,066110,615SH DFND1110,61500
    BARCLAYS BANK PLCIPATHBBGNATGAS3706745T3682,37782,950SH DFND182,95000
    BARCLAYS BANK PLCETN LKD 4806746P4312,94036,104SH DFND136,10400
    BARCLAYS BANK PLCETN LKD 4806746P4492995,383SH DFND15,38300
    BARCLAYS BANK PLCETN LKD 4806746P4562,52340,036SH DFND140,03600
    BARCLAYS BANK PLCETN LKD 4806746P4802,92798,849SH DFND198,84900
    BARCLAYS BANK PLCETN LKD 4806746P4981,58143,458SH DFND143,45800
    BARCLAYS BANK PLCETN LKD 4806746P5141,96932,068SH DFND132,06800
    BARCLAYS BANK PLCETN LKD 4806746P5225,38968,599SH DFND168,59900
    BARCLAYS BANK PLCETN LKD 4806746P53066610,343SH DFND110,34300
    BARCLAYS BANK PLCETN LKD 4806746P5482,08430,760SH DFND130,76000
    BARCLAYS BANK PLCETN LKD 4806746P5552,813152,017SH DFND1152,01700
    BARCLAYS BANK PLCETN LKD 4806746P5635,51888,552SH DFND188,55200
    BARCLAYS BANK PLCETN LKD 4806746P5633435,500SH DFND25,50000
    BARCLAYS BANK PLCETN LKD 4806746P5714,97295,509SH DFND195,50900
    BARCLAYS BANK PLCIPATH B AGRCULTR06746P5892,27889,239SH DFND189,23900
    BARCLAYS BANK PLCIPATH B MID TRM06746P6135,061169,166SH DFND1169,16600
    BARCLAYS BANK PLCCOM06746P90382213,200SHCallDFND2000
    BARCLAYS BANK PLCETN 4906747C3225,144146,710SH DFND1146,71000
    BARCLAYS BANK PLCIPTH SR B S&P06747R4776,632287,350SH DFND2287,35000
    BARCLAYS BANK PLCCOM06747R90722,090957,100SHCallDFND1000
    BARCLAYS BANK PLCCOM06747R90722,713984,100SHCallDFND2000
    BARCLAYS BANK PLCCOM06747R957526,07922,793,700SHPutDFND222,793,70000
    BARCLAYS PLCADR06738E20412,6601,665,855SH DFND11,665,85500
    BARCLAYS PLCADR06738E2049912,983SH DFND212,98300
    BARINGS BDC INCCOM06759L10349453,097SH DFND153,09700
    BARK INCCOM68622E104575449,280SH DFND1449,28000
    BARK INCCOM68622E104175137,059SH DFND2137,05900
    BARK INCW EXP 05/01/20268622E1121684,462SH DFND184,46200
    BARK INCCOM68622E9042922,700SHCallDFND2000
    BARK INCCOM68622E9545442,300SHPutDFND242,30000
    BARNES GROUP INCCOM0678061092307,371SH DFND17,37100
    BARRICK GOLD CORPCOM06790110812,341697,629SH DFND1697,62900
    BARRICK GOLD CORPCOM0679011088,250466,377SH DFND2466,37700
    BARRICK GOLD CORPCOM0679011081,34275,879SH DFND375,87900
    BARRICK GOLD CORPCOM06790190844,4972,515,400SHCallDFND2000
    BARRICK GOLD CORPCOM06790195828,0031,583,000SHPutDFND21,583,00000
    BATH & BODY WORKS INCCOM07083010412,891478,851SH DFND1478,85100
    BATH & BODY WORKS INCCOM0708301043100SH DFND210000
    BATH & BODY WORKS INCCOM07083090414,362533,500SHCallDFND2000
    BATH & BODY WORKS INCCOM07083095416,930628,900SHPutDFND2628,90000
    BAUSCH HEALTH COS INCCOM071734107151,773SH DFND11,77300
    BAUSCH HEALTH COS INCCOM0717341071,515181,190SH DFND3181,19000
    BAUSCH HEALTH COS INCCOM07173490718,2482,182,800SHCallDFND2000
    BAUSCH HEALTH COS INCCOM0717349572,760330,100SHPutDFND2330,10000
    BAUSCH PLUS LOMB CORPCOMMON SHARES07170510733221,792SH DFND121,79200
    BAXTER INTL INCCOM0718131096,704104,374SH DFND1104,37400
    BAXTER INTL INCCOM07181310910,160158,186SH DFND2158,18600
    BAXTER INTL INCCOM0718139095,73689,300SHCallDFND2000
    BAXTER INTL INCCOM07181395916,321254,100SHPutDFND2254,10000
    BCE INCCOM NEW05534B7602384,832SH DFND14,83200
    BCE INCCOM NEW05534B7602,73555,612SH DFND355,61200
    BCE INCCOM05534B9007,569153,900SHCallDFND2000
    BCE INCCOM05534B95090518,400SHPutDFND218,40000
    BEACON ROOFING SUPPLY INCCOM0736851092,00639,057SH DFND139,05700
    BEACON ROOFING SUPPLY INCCOM0736851092504,863SH DFND24,86300
    BEACON ROOFING SUPPLY INCCOM07368590978615,300SHCallDFND2000
    BEACON ROOFING SUPPLY INCCOM07368595956511,000SHPutDFND211,00000
    BEAM GLOBALCOM07373B10917211,103SH DFND111,10300
    BEAM GLOBALCOM07373B90942527,400SHCallDFND2000
    BEAM THERAPEUTICS INCCOM07373V1051,90649,237SH DFND149,23700
    BEAM THERAPEUTICS INCCOM07373V1051,11728,844SH DFND228,84400
    BEAM THERAPEUTICS INCCOM07373V9051,27733,000SHCallDFND2000
    BEAM THERAPEUTICS INCCOM07373V9556,151158,900SHPutDFND2158,90000
    BEAZER HOMES USA INCCOM NEW07556Q88135029,014SH DFND129,01400
    BEAZER HOMES USA INCCOM NEW07556Q881967,976SH DFND27,97600
    BEAZER HOMES USA INCCOM07556Q90123719,600SHCallDFND2000
    BEAZER HOMES USA INCCOM07556Q95124420,200SHPutDFND220,20000
    BECTON DICKINSON & COCOM0758871093,60314,613SH DFND114,61300
    BECTON DICKINSON & CO6% DP CONV PFD B0758874069,363189,314SH DFND1189,31400
    BECTON DICKINSON & CO6% DP CONV PFD B0758874061,50230,369SH DFND330,36900
    BECTON DICKINSON & COCOM0758879095,13120,800SHCallDFND2000
    BECTON DICKINSON & COCOM0758879593,80115,400SHPutDFND215,40000
    BED BATH & BEYOND INCCOM0758961001,691340,333SH DFND1340,33300
    BED BATH & BEYOND INCCOM0758961001,695341,038SH DFND2341,03800
    BED BATH & BEYOND INCCOM07589690018,8883,800,400SHCallDFND2000
    BED BATH & BEYOND INCCOM0758969507,4461,498,100SHPutDFND21,498,10000
    BEIGENE LTDSPONSORED ADR07725L1022,22713,759SH DFND113,75900
    BEIGENE LTDSPONSORED ADR07725L102743SH DFND24300
    BEIGENE LTDCOM07725L9021,1016,800SHCallDFND2000
    BEIGENE LTDCOM07725L9523081,900SHPutDFND21,90000
    BELLRING BRANDS INCCOMMON STOCK07831C10328111,272SH DFND111,27200
    BELLRING BRANDS INCCOMMON STOCK07831C103371,474SH DFND21,47400
    BELLRING BRANDS INCCOM07831C95366026,406SHPutDFND226,40600
    BELLUS HEALTH INC NEWCOM NEW07987C20450855,187SH DFND155,18700
    BELLUS HEALTH INC NEWCOM NEW07987C204505,422SH DFND25,42200
    BELLUS HEALTH INC NEWCOM NEW07987C20433536,396SH DFND336,39600
    BELLUS HEALTH INC NEWCOM07987C90412213,300SHCallDFND2000
    BELLUS HEALTH INC NEWCOM07987C95412013,000SHPutDFND213,00000
    BENCHMARK ELECTRS INCCOM08160H10184337,369SH DFND137,36900
    BENESSERE CAPITAL ACQUSTN COW EXP 01/07/20208179B1111352,911SH DFND152,91100
    BENESSERE CAPITAL ACQUSTN CORIGHT 99/99/999908179B129855,172SH DFND155,17200
    BENSON HILL INCW EXP 09/29/2020824901112552,641SH DFND152,64100
    BENTLEY SYS INCCOM CL B08265T2082688,049SH DFND18,04900
    BENTLEY SYS INCCOM CL B08265T2081554,663SH DFND24,66300
    BENTLEY SYS INCCOM CL B08265T20820609SH DFND360900
    BENTLEY SYS INCCOM08265T90836010,800SHCallDFND2000
    BENTLEY SYS INCCOM08265T95875322,600SHPutDFND222,60000
    BERKELEY LTS INCCOM08431010116833,889SH DFND133,88900
    BERKELEY LTS INCCOM084310101438,694SH DFND28,69400
    BERKELEY LTS INCCOM08431090111823,800SHCallDFND2000
    BERKELEY LTS INCCOM0843109516513,100SHPutDFND213,10000
    BERKLEY W R CORPCOM0844231022,59337,994SH DFND137,99400
    BERKLEY W R CORPCOM0844231028119SH DFND211900
    BERKLEY W R CORPCOM0844239025127,500SHCallDFND2000
    BERKLEY W R CORPCOM0844239522183,200SHPutDFND23,20000
    BERKSHIRE GREY INCCOM CL A08465610710370,914SH DFND170,91400
    BERKSHIRE GREY INCCOM CL A0846561071411SH DFND241100
    BERKSHIRE GREY INCW EXP 07/21/2020846561151040,334SH DFND140,33400
    BERKSHIRE GREY INCCOM0846569076343,400SHCallDFND2000
    BERKSHIRE HATHAWAY INC DELCL A0846701085,31613SH DFND11300
    BERKSHIRE HATHAWAY INC DELCL A0846701082,0455SH DFND3500
    BERKSHIRE HATHAWAY INC DELCL B NEW084670702102,339374,839SH DFND1243,37200
    BERKSHIRE HATHAWAY INC DELCL B NEW08467070237,104135,901SH DFND2135,90100
    BERKSHIRE HATHAWAY INC DELCOM084670902352,7961,292,200SHCallDFND2000
    BERKSHIRE HATHAWAY INC DELCOM084670952307,0931,124,800SHPutDFND21,124,80000
    BERKSHIRE HILLS BANCORP INCCOM08468010778631,719SH DFND131,71900
    BERRY CORPCOM08579X10117623,055SH DFND123,05500
    BERRY GLOBAL GROUP INCCOM08579W1039,143167,327SH DFND1167,32700
    BERRY GLOBAL GROUP INCCOM08579W9031,59029,100SHCallDFND2000
    BERRY GLOBAL GROUP INCCOM08579W9532,47045,200SHPutDFND245,20000
    BEST BUY INCCOM08651610114,732225,984SH DFND1225,98400
    BEST BUY INCCOM0865161011,23618,954SH DFND218,95400
    BEST BUY INCCOM08651690125,066384,500SHCallDFND2000
    BEST BUY INCCOM08651695126,943413,300SHPutDFND2413,30000
    BEST INCSPONSORED ADS08653C5027664,195SH DFND164,19500
    BETTER WORLD ACQUISITION CORW EXP 11/15/20208772B112462,513SH DFND162,51300
    BETTERWARE DE MXC S A B DE CSHS NEWP1666E10518421,259SH DFND121,25900
    BEYOND MEAT INCCOM08862E1092259,398SH DFND19,39800
    BEYOND MEAT INCCOM08862E1095,436227,065SH DFND2227,06500
    BEYOND MEAT INCCOM08862E109274SH DFND37400
    BEYOND MEAT INCCOM08862E90935,8211,496,300SHCallDFND2000
    BEYOND MEAT INCCOM08862E95955,0242,298,400SHPutDFND22,298,40000
    BHP GROUP LTDSPONSORED ADS08860610874513,258SH DFND113,25800
    BHP GROUP LTDSPONSORED ADS088606108971,724SH DFND21,72400
    BHP GROUP LTDCOM0886069084,83486,300SHCallDFND2000
    BHP GROUP LTDCOM08860695860110,700SHPutDFND210,70000
    BIG 5 SPORTING GOODS CORPCOM08915P9012,556228,000SHCallDFND2000
    BIG 5 SPORTING GOODS CORPCOM08915P9511,424127,000SHPutDFND2127,00000
    BIG LOTS INCCOM0893021031,30262,069SH DFND162,06900
    BIG LOTS INCCOM0893029036,828325,600SHCallDFND2000
    BIG LOTS INCCOM0893029532,137101,900SHPutDFND2101,90000
    BIG SKY GROWTH PARTNERS INCUNIT 04/01/202608954L2013,158322,256SH DFND3322,25600
    BIGBEAR AI HLDGS INCW EXP 12/08/20208975B11768170,347SH DFND1170,34700
    BIGBEAR AI HLDGS INCCOM08975B90927875,500SHCallDFND2000
    BIGCOMMERCE HLDGS INCCOM SER 108975P10878948,676SH DFND148,67600
    BIGCOMMERCE HLDGS INCCOM SER 108975P1081177,222SH DFND27,22200
    BIGCOMMERCE HLDGS INCCOM08975P9081,36284,100SHCallDFND2000
    BIGCOMMERCE HLDGS INCCOM08975P95846828,900SHPutDFND228,90000
    BIGLARI HLDGS INCCOM STK CL B08986R3092361,920SH DFND11,92000
    BILANDER ACQUISITION CORPUNIT 05/19/202609001T2052,438250,000SH DFND1250,00000
    BILIBILI INCSPONS ADS REP Z09004010610,634415,376SH DFND1415,37600
    BILIBILI INCSPONS ADS REP Z09004010610,287401,833SH DFND2401,83300
    BILIBILI INCCOM09004090627,9171,090,500SHCallDFND2000
    BILIBILI INCCOM09004095636,9181,442,100SHPutDFND21,442,10000
    BILL COM HLDGS INCCOM0900431007,58068,944SH DFND168,94400
    BILL COM HLDGS INCCOM0900431002,75725,077SH DFND225,07700
    BILL COM HLDGS INCCOM0900431001621,478SH DFND31,47800
    BILL COM HLDGS INCCOM09004390033,444304,200SHCallDFND2000
    BILL COM HLDGS INCCOM09004395029,035264,100SHPutDFND2264,10000
    BIO RAD LABS INCCL A0905722073,4056,878SH DFND16,87800
    BIO RAD LABS INCCL A0905722071,8943,826SH DFND23,82600
    BIO RAD LABS INCCOM0905729075,29710,700SHCallDFND2000
    BIO RAD LABS INCCOM09057295711,38523,000SHPutDFND223,00000
    BIOATLA INCCOM09077B1045920,528SH DFND120,52800
    BIOATLA INCCOM09077B10482,853SH DFND22,85300
    BIOCEPT INCCOM09072V5011314,072SH DFND114,07200
    BIOCRYST PHARMACEUTICALS INCCOM09058V1031,082102,315SH DFND1102,31500
    BIOCRYST PHARMACEUTICALS INCCOM09058V10368064,243SH DFND264,24300
    BIOCRYST PHARMACEUTICALS INCCOM09058V9035,717540,400SHCallDFND2000
    BIOCRYST PHARMACEUTICALS INCCOM09058V9533,535334,100SHPutDFND2334,10000
    BIOFRONTERA INCCOM09077D1001910,190SH DFND110,19000
    BIOGEN INCCOM09062X10312,45161,050SH DFND161,05000
    BIOGEN INCCOM09062X10326,239128,660SH DFND2128,66000
    BIOGEN INCCOM09062X90363,915313,400SHCallDFND2000
    BIOGEN INCCOM09062X953101,684498,600SHPutDFND2498,60000
    BIOHAVEN PHARMACTL HLDG CO LCOMG111961054,84933,280SH DFND133,28000
    BIOHAVEN PHARMACTL HLDG CO LCOMG111961053,01820,714SH DFND220,71400
    BIOHAVEN PHARMACTL HLDG CO LCOMG1119690515,751108,100SHCallDFND2000
    BIOHAVEN PHARMACTL HLDG CO LCOMG1119695512,22583,900SHPutDFND283,90000
    BIOMARIN PHARMACEUTICAL INCCOM09061G1011,19814,457SH DFND114,45700
    BIOMARIN PHARMACEUTICAL INCCOM09061G10117200SH DFND320000
    BIOMARIN PHARMACEUTICAL INCCOM09061G90119,922240,400SHCallDFND2000
    BIOMARIN PHARMACEUTICAL INCCOM09061G95112,613152,200SHPutDFND2152,20000
    BIOMARIN PHARMACEUTICAL INCNOTE 0.599% 8/009061GAH49891,000,000SH DFND11,000,00000
    BIOMX INCCOM09090D1031622,462SH DFND122,46200
    BIONANO GENOMICS INCCOM09075F107204147,604SH DFND1147,60400
    BIONANO GENOMICS INCCOM09075F10710072,404SH DFND272,40400
    BIONANO GENOMICS INCCOM09075F907247178,800SHCallDFND2000
    BIONANO GENOMICS INCCOM09075F9579568,700SHPutDFND268,70000
    BIONTECH SESPONSORED ADS09075V10213,32989,396SH DFND189,39600
    BIONTECH SESPONSORED ADS09075V1022,36515,865SH DFND215,86500
    BIONTECH SESPONSORED ADS09075V102119800SH DFND380000
    BIONTECH SECOM09075V90230,073201,700SHCallDFND2000
    BIONTECH SECOM09075V95244,685299,700SHPutDFND2299,70000
    BIORA THERAPEUTICS INCCOM74319F1072942,050SH DFND142,05000
    BIORA THERAPEUTICS INCCOM74319F907597852,400SHCallDFND2000
    BIORA THERAPEUTICS INCCOM74319F957253360,900SHPutDFND2360,90000
    BIOSIG TECHNOLOGIES INCCOM NEW09073N2011420,781SH DFND120,78100
    BIOTE CORPW EXP 05/26/2020906831112762,688SH DFND162,68800
    BIOTECH ACQUISITION COMPANYCL A SHSG1125A1082,969299,920SH DFND1150,36000
    BIOTECH ACQUISITION COMPANYW EXP 11/30/202G1125A116552,649SH DFND152,64900
    BIO-TECHNE CORPCOM09073M1043,4019,811SH DFND19,81100
    BIO-TECHNE CORPCOM09073M9046,62119,100SHCallDFND2000
    BIRD GLOBAL INCCOM CL A09077J107716,666SH DFND116,66600
    BIRD GLOBAL INCW EXP 01/07/20209077J115110,747SH DFND110,74700
    BIT DIGITAL INCSHSG1144A105191145,892SH DFND1145,89200
    BIT DIGITAL INCCOMG1144A905194148,000SHCallDFND2000
    BIT DIGITAL INCCOMG1144A9554634,900SHPutDFND234,90000
    BIT MINING LIMITEDSPON ADR REP A05547410076122,745SH DFND1122,74500
    BITE ACQUISITION CORPCOMMON STOCK09175K1053,167322,796SH DFND1279,89700
    BITE ACQUISITION CORPW EXP 02/12/20309175K113777,257SH DFND177,25700
    BITE ACQUISITION CORPUNIT 99/99/999909175K20443444,109SH DFND144,10900
    BITFARMS LTDCOM09173B107182162,870SH DFND1162,87000
    BITFARMS LTDCOM09173B1071815,811SH DFND215,81100
    BITFARMS LTDCOM09173B107190169,958SH DFND3169,95800
    BITFARMS LTDCOM09173B907757677,100SHCallDFND2000
    BITFARMS LTDCOM09173B9578777,800SHPutDFND277,80000
    BITNILE HOLDINGS INCCOM09175M10128104,351SH DFND1104,35100
    BITNILE HOLDINGS INCCOM09175M10102SH DFND2200
    BJS RESTAURANTS INCCOM09180C90638417,700SHCallDFND2000
    BJS WHSL CLUB HLDGS INCCOM05550J1019,099146,006SH DFND1146,00600
    BJS WHSL CLUB HLDGS INCCOM05550J9014,02064,500SHCallDFND2000
    BJS WHSL CLUB HLDGS INCCOM05550J9512,24436,000SHPutDFND236,00000
    BK OF AMERICA CORPCOM0605051045,616180,408SH DFND1180,40800
    BK OF AMERICA CORPCOM06050510488,6872,848,935SH DFND22,848,93500
    BK OF AMERICA CORPCOM0605051042,08867,060SH DFND367,06000
    BK OF AMERICA CORP7.25%CNV PFD L0605056823,1922,650SH DFND12,65000
    BK OF AMERICA CORPCOM060505904167,7665,389,200SHCallDFND2000
    BK OF AMERICA CORPCOM060505954231,9317,450,400SHPutDFND27,450,40000
    BLACK KNIGHT INCCOM09215C10586013,146SH DFND113,14600
    BLACK KNIGHT INCCOM09215C1053765,756SH DFND25,75600
    BLACK KNIGHT INCCOM09215C9053,68156,300SHCallDFND2000
    BLACK KNIGHT INCCOM09215C9551,36720,900SHPutDFND220,90000
    BLACK STONE MINERALS L PCOM UNIT09225M10122516,446SH DFND116,44600
    BLACK STONE MINERALS L PCOM UNIT09225M10123617,242SH DFND217,24200
    BLACK STONE MINERALS L PCOM09225M9012,054150,000SHCallDFND2000
    BLACK STONE MINERALS L PCOM09225M95132623,800SHPutDFND223,80000
    BLACKBAUD INCCOM09227Q1003,59561,908SH DFND161,90800
    BLACKBAUD INCCOM09227Q10066911,528SH DFND211,52800
    BLACKBAUD INCCOM09227Q9003,71163,900SHCallDFND2000
    BLACKBAUD INCCOM09227Q9503,42058,900SHPutDFND258,90000
    BLACKBERRY LTDCOM09228F1031,099203,821SH DFND1203,82100
    BLACKBERRY LTDCOM09228F1032,101389,858SH DFND2389,85800
    BLACKBERRY LTDCOM09228F1032,364438,584SH DFND3438,58400
    BLACKBERRY LTDCOM09228F9036,9411,287,800SHCallDFND2000
    BLACKBERRY LTDCOM09228F9533,685683,700SHPutDFND2683,70000
    BLACKLINE INCCOM09239B1092,04130,646SH DFND130,64600
    BLACKLINE INCCOM09239B10918274SH DFND327400
    BLACKLINE INCCOM09239B9098,338125,200SHCallDFND2000
    BLACKLINE INCCOM09239B9591,56523,500SHPutDFND223,50000
    BLACKROCK ENHANCED GLOBAL DICOM09250110512012,239SH DFND112,23900
    BLACKROCK ETF TRUSTFUTURE INVTR ETF09290C20231212,841SH DFND112,84100
    BLACKROCK ETF TRUSTFUTURE TECH ETF09290C30127214,470SH DFND114,47000
    BLACKROCK ETF TRUSTFUTUR HEALTH ETF09290C40039918,007SH DFND118,00700
    BLACKROCK ETF TRUSTWORLD EX US CARB09290C6082,26959,830SH DFND159,83000
    BLACKROCK ETF TRUSTFUTURE CLIMATE09290C70721211,251SH DFND111,25100
    BLACKROCK ETF TRUST IIHIGH YLD MUNI IN0925281081,61774,705SH DFND174,70500
    BLACKROCK ETF TRUST IIINTERMEDIA MUNI0925282071,23552,178SH DFND152,17800
    BLACKROCK HEALTH SCIENCS TRCOM SHS09260E10527116,501SH DFND116,50100
    BLACKROCK INCCOM09247X1011,1881,951SH DFND11,95100
    BLACKROCK INCCOM09247X901119,920196,900SHCallDFND2000
    BLACKROCK INCCOM09247X95187,763144,100SHPutDFND2144,10000
    BLACKROCK INCOME TR INCCOM09247F100520114,491SH DFND1114,49100
    BLACKROCK MUNIVEST FD INCCOM09253R10514219,019SH DFND119,01900
    BLACKROCK RES & COMMODITIESSHS09257A10811512,765SH DFND112,76500
    BLACKROCK TAX MUNICPAL BD TRSHS09248X10020110,505SH DFND110,50500
    BLACKSKY TECHNOLOGY INCCOM09263B908399172,900SHCallDFND2000
    BLACKSKY TECHNOLOGY INCCOM09263B958341147,800SHPutDFND2147,80000
    BLACKSTONE INCCOM09260D1075,52660,572SH DFND160,57200
    BLACKSTONE INCCOM09260D10720,604225,852SH DFND2225,85200
    BLACKSTONE INCCOM09260D90780,994887,800SHCallDFND2000
    BLACKSTONE INCCOM09260D95771,506783,800SHPutDFND2783,80000
    BLACKSTONE MORTGAGE TRUST INNOTE 4.750% 3/109257WAC42930,000SH DFND130,00000
    BLACKSTONE MORTGAGE TRUST INNOTE 5.500% 3/109257WAE0707775,000SH DFND3775,00000
    BLACKSTONE MTG TR INCCOM09257W9007,020253,700SHCallDFND2000
    BLACKSTONE MTG TR INCCOM09257W9506,929250,400SHPutDFND2250,40000
    BLADE AIR MOBILITY INCCOM09266790416537,000SHCallDFND2000
    BLEND LABS INCCL A09352U108166,719SH DFND16,71900
    BLEND LABS INCCL A09352U1089540,243SH DFND240,24300
    BLEND LABS INCCOM09352U908805341,000SHCallDFND2000
    BLEND LABS INCCOM09352U958277117,300SHPutDFND2117,30000
    BLEUACACIA LTDW EXP 10/30/202G11728113215,185SH DFND115,18500
    BLINK CHARGING COCOM09354A10017210,381SH DFND110,38100
    BLINK CHARGING COCOM09354A9003,541214,200SHCallDFND2000
    BLINK CHARGING COCOM09354A9502,301139,200SHPutDFND2139,20000
    BLOCK H & R INCCOM0936711051,20334,074SH DFND134,07400
    BLOCK H & R INCCOM0936719056,114173,100SHCallDFND2000
    BLOCK H & R INCCOM0936719557,230204,700SHPutDFND2204,70000
    BLOCK INCCL A85223410335,221573,068SH DFND1573,06800
    BLOCK INCCL A85223410331,897518,990SH DFND2518,99000
    BLOCK INCCL A8522341033535,750SH DFND35,75000
    BLOCK INCCOM852234903168,3212,738,700SHCallDFND2000
    BLOCK INCCOM852234953176,8202,877,000SHPutDFND22,877,00000
    BLOCK INCNOTE 0.250%11/0852234AK9387525,000SH DFND3525,00000
    BLOOM ENERGY CORPCOM CL A0937121073,501212,189SH DFND1212,18900
    BLOOM ENERGY CORPCOM CL A0937121072,003121,366SH DFND2121,36600
    BLOOM ENERGY CORPCOM0937129077,633462,600SHCallDFND2000
    BLOOM ENERGY CORPCOM0937129573,620219,400SHPutDFND2219,40000
    BLOOMIN BRANDS INCCOM09423510830818,505SH DFND118,50500
    BLOOMIN BRANDS INCCOM09423590811,421687,200SHCallDFND2000
    BLOOMIN BRANDS INCCOM0942359583,282197,500SHPutDFND2197,50000
    BLUCORA INCCOM09522910074240,193SH DFND140,19300
    BLUCORA INCCOM09522990092550,100SHCallDFND2000
    BLUE APRON HLDGS INCCOM09523Q900573157,400SHCallDFND2000
    BLUE APRON HLDGS INCCOM09523Q95015943,600SHPutDFND243,60000
    BLUE HAT INTERACTIVE ENTMT TSHSG1329V2057927,581SH DFND127,58100
    BLUE OWL CAPITAL INCCOM CL A09581B10383282,904SH DFND182,90400
    BLUE OWL CAPITAL INCCOM CL A09581B10314214,132SH DFND214,13200
    BLUE OWL CAPITAL INCW EXP 05/19/20209581B11118889,456SH DFND189,45600
    BLUE OWL CAPITAL INCCOM09581B90384984,600SHCallDFND2000
    BLUE OWL CAPITAL INCCOM09581B95371170,900SHPutDFND270,90000
    BLUEBIRD BIO INCCOM09609G100647156,203SH DFND1156,20300
    BLUEBIRD BIO INCCOM09609G100568137,220SH DFND2137,22000
    BLUEBIRD BIO INCCOM09609G90022955,200SHCallDFND2000
    BLUEBIRD BIO INCCOM09609G950924223,300SHPutDFND2223,30000
    BLUEKNIGHT ENERGY PARTNERS LCOM UNIT09625U10910422,922SH DFND122,92200
    BLUELINX HLDGS INCCOM09624H9082,71940,700SHCallDFND2000
    BLUELINX HLDGS INCCOM09624H9581,00215,000SHPutDFND215,00000
    BLUEPRINT MEDICINES CORPCOM09627Y1091,52930,270SH DFND130,27000
    BLUEPRINT MEDICINES CORPCOM09627Y10948960SH DFND296000
    BLUEPRINT MEDICINES CORPCOM09627Y9092,27845,100SHCallDFND2000
    BLUEPRINT MEDICINES CORPCOM09627Y95966713,200SHPutDFND213,20000
    BLUERIVER ACQUISITION CORPSHS CL AG1261Q107232,383SH DFND12,38300
    BLUERIVER ACQUISITION CORPSHS CL AG1261Q1071,166118,643SH DFND3118,64300
    BLUERIVER ACQUISITION CORPW EXP 01/04/202G1261Q115333,596SH DFND133,59600
    BLUERIVER ACQUISITION CORPUNIT 01/04/2026G1261Q12315816,090SH DFND116,09000
    BLUEROCK RESIDENTIAL GWT REICOM CL A09627J1021,47055,926SH DFND155,92600
    BLUEROCK RESIDENTIAL GWT REICOM CL A09627J1021,51457,601SH DFND257,60100
    BLUEROCK RESIDENTIAL GWT REICOM09627J90242916,300SHCallDFND2000
    BLUEROCK RESIDENTIAL GWT REICOM09627J9521,99075,700SHPutDFND275,70000
    BLUESCAPE OPPORTUNITIES ACQUSHSG1195N105212,113SH DFND12,11300
    BLUESCAPE OPPORTUNITIES ACQUSHSG1195N1056,819688,090SH DFND3688,09000
    BLUESCAPE OPPORTUNITIES ACQUW EXP 10/28/202G1195N11348227,655SH DFND1227,65500
    BNY MELLON ETF TRUSTINTERNATIONL EQT09661T4045418,941SH DFND18,94100
    BNY MELLON ETF TRUSTEMRG MKT EQUIT09661T50363811,254SH DFND111,25400
    BNY MELLON ETF TRUSTCORE BOND ETF09661T6022,76663,317SH DFND163,31700
    BNY MELLON ETF TRUSTSHRT DUR CORP BD09661T7014,974104,888SH DFND1104,88800
    BNY MELLON ETF TRUSTHIGH YIELD BETA09661T8001,01622,000SH DFND1000
    BNY MELLON ETF TRUSTCONCENTRATED INT09661T8342797,035SH DFND17,03500
    BNY MELLON ETF TRUSTRESPONSIBLE HORI09661T8424229,086SH DFND19,08600
    BNY MELLON ETF TRUSTULTRA SHORT INCM09661T85965113,287SH DFND113,28700
    BNY MELLON ETF TRUSTSUSTAINABLE INTL09661T8752466,236SH DFND16,23600
    BOEING COCOM09702310523,723173,516SH DFND1173,51600
    BOEING COCOM09702310599,284726,182SH DFND2726,18200
    BOEING COCOM097023905333,8162,441,600SHCallDFND2000
    BOEING COCOM097023955475,9773,481,400SHPutDFND23,481,40000
    BOISE CASCADE CO DELCOM09739D1001,34622,624SH DFND122,62400
    BOISE CASCADE CO DELCOM09739D9002,94549,500SHCallDFND2000
    BOISE CASCADE CO DELCOM09739D95068411,500SHPutDFND211,50000
    BOK FINL CORPCOM NEW05561Q2011,79023,689SH DFND123,68900
    BONDBLOXX ETF TRUSTUSD HI YLD ENERG09789010765217,950SH DFND117,95000
    BONDBLOXX ETF TRUSTUSD HI YLD CONSU09789C10181923,561SH DFND123,56100
    BONDBLOXX ETF TRUSTUSD HI YLD FINAN09789C30989725,565SH DFND125,56500
    BONDBLOXX ETF TRUSTUSD HI YLD TELEC09789C5071,84252,786SH DFND152,78600
    BONDBLOXX ETF TRUSTUSD HI YLD INDUS09789C6061,37838,827SH DFND138,82700
    BONDBLOXX ETF TRUSTBB RT USD HI YLD09789C7052,26358,591SH DFND158,59100
    BONDBLOXX ETF TRUSTB RT USD HI YLD09789C8041,69444,001SH DFND144,00100
    BONDBLOXX ETF TRUSTJP MORGAN USD EM09789C8791,85346,377SH DFND146,37700
    BONDBLOXX ETF TRUSTCCC RT USD HI YL09789C88789223,238SH DFND123,23800
    BOOKING HOLDINGS INCCOM09857L10847,27227,028SH DFND127,02800
    BOOKING HOLDINGS INCCOM09857L108175100SH DFND210000
    BOOKING HOLDINGS INCCOM09857L1085,1022,917SH DFND32,91700
    BOOKING HOLDINGS INCCOM09857L908191,165109,300SHCallDFND2000
    BOOKING HOLDINGS INCCOM09857L958208,305119,100SHPutDFND2119,10000
    BOOT BARN HLDGS INCCOM0994061002,55937,133SH DFND137,13300
    BOOT BARN HLDGS INCCOM0994069003,18446,200SHCallDFND2000
    BOOT BARN HLDGS INCCOM0994069501,73025,100SHPutDFND225,10000
    BOOZ ALLEN HAMILTON HLDG CORCL A0995021062,16823,994SH DFND123,99400
    BOOZ ALLEN HAMILTON HLDG CORCOM0995029065,25058,100SHCallDFND2000
    BOOZ ALLEN HAMILTON HLDG CORCOM0995029563804,200SHPutDFND24,20000
    BORGWARNER INCCOM0997241062,19865,874SH DFND165,87400
    BORGWARNER INCCOM0997249063,988119,500SHCallDFND2000
    BORGWARNER INCCOM0997249562,58677,500SHPutDFND277,50000
    BORQS TECHNOLOGIES INCSHS NEWG1466B2024024,190SH DFND124,19000
    BORR DRILLING LTDSHSG1466R173680152,202SH DFND1152,20200
    BOSTON BEER INCCL A1005571075451,799SH DFND11,79900
    BOSTON BEER INCCL A1005571072,3887,882SH DFND27,88200
    BOSTON BEER INCCOM10055790711,87639,200SHCallDFND2000
    BOSTON BEER INCCOM10055795718,87562,300SHPutDFND262,30000
    BOSTON PROPERTIES INCCOM1011211012,30025,847SH DFND125,84700
    BOSTON PROPERTIES INCCOM1011211012,63129,567SH DFND229,56700
    BOSTON PROPERTIES INCCOM1011219016,90577,600SHCallDFND2000
    BOSTON PROPERTIES INCCOM1011219517,51084,400SHPutDFND284,40000
    BOSTON SCIENTIFIC CORPCOM1011371072,46166,030SH DFND166,03000
    BOSTON SCIENTIFIC CORPCOM1011371075,488147,256SH DFND2147,25600
    BOSTON SCIENTIFIC CORP5.50% CNV PFD A1011372066,19161,028SH DFND161,02800
    BOSTON SCIENTIFIC CORPCOM10113790718,214488,700SHCallDFND2000
    BOSTON SCIENTIFIC CORPCOM10113795727,666742,300SHPutDFND2742,30000
    BOWLERO CORPCL A COM10258P10234732,801SH DFND132,80100
    BOX INCCL A10316T1044,571181,815SH DFND1181,81500
    BOX INCCL A10316T10413511SH DFND351100
    BOX INCCOM10316T9043,555141,400SHCallDFND2000
    BOX INCCOM10316T9541,29751,600SHPutDFND251,60000
    BOXED INCCOM1031741082312,640SH DFND112,64000
    BOXED INCCOM103174908628339,600SHCallDFND2000
    BOXED INCCOM103174958202109,200SHPutDFND2109,20000
    BOYD GAMING CORPCOM1033041013,02660,824SH DFND160,82400
    BOYD GAMING CORPCOM10330410173314,730SH DFND214,73000
    BOYD GAMING CORPCOM10330490115,741316,400SHCallDFND2000
    BOYD GAMING CORPCOM1033049514,65293,500SHPutDFND293,50000
    BP PLCSPONSORED ADR055622104106,6413,761,574SH DFND13,761,57400
    BP PLCSPONSORED ADR05562210412,189429,950SH DFND2429,95000
    BP PLCCOM05562290495,1063,354,700SHCallDFND2000
    BP PLCCOM05562295462,4782,203,800SHPutDFND22,203,80000
    BP PRUDHOE BAY RTY TRUNIT BEN INT05563010742220,624SH DFND120,62400
    BP PRUDHOE BAY RTY TRCOM0556309077,214352,400SHCallDFND2000
    BP PRUDHOE BAY RTY TRCOM05563095779638,900SHPutDFND238,90000
    BRAEMAR HOTELS & RESORTS INCCOM10482B1014310,039SH DFND110,03900
    BRAINSTORM CELL THERAPEUTICSCOM NEW10501E2013312,085SH DFND112,08500
    BRASILAGRO COMPANHIA BRASILESPONSORED ADR10554B10415432,400SH DFND132,40000
    BRASKEM S ASP ADR PFD A10553210521214,853SH DFND114,85300
    BRC INCCOM05601U9053,874474,700SHCallDFND2000
    BRC INCCOM05601U95538847,500SHPutDFND247,50000
    BREAD FINANCIAL HOLDINGS INCCOM0185811086,138165,612SH DFND1165,61100
    BREAD FINANCIAL HOLDINGS INCCOM0185811082737,367SH DFND27,36700
    BREAD FINANCIAL HOLDINGS INCCOM01858110802SH DFND3200
    BREAD FINANCIAL HOLDINGS INCCOM0185819081,36836,900SHCallDFND2000
    BREAD FINANCIAL HOLDINGS INCCOM0185819581,92752,000SHPutDFND252,00000
    BRF SASPONSORED ADR10552T107429167,611SH DFND1167,61100
    BRIACELL THERAPEUTICS CORPCOM NEW10778Y30214825,695SH DFND125,69500
    BRIACELL THERAPEUTICS CORPCOM NEW10778Y30214224,589SH DFND224,58900
    BRIACELL THERAPEUTICS CORPCOM10778Y90238065,900SHCallDFND2000
    BRICKELL BIOTECH INCCOM10802T10518139,180SH DFND1139,18000
    BRIDGEBIO PHARMA INCCOM10806X10251356,504SH DFND156,50400
    BRIDGEBIO PHARMA INCCOM10806X10221824,044SH DFND224,04400
    BRIDGEBIO PHARMA INCCOM10806X9021,487163,800SHCallDFND2000
    BRIDGEBIO PHARMA INCCOM10806X95244649,100SHPutDFND249,10000
    BRIDGEBIO PHARMA INCNOTE 2.250% 2/010806XAD44531,000,000SH DFND11,000,00000
    BRIDGETOWN HOLDINGS LTDCOM CL AG1355U113525,220SH DFND15,22000
    BRIDGETOWN HOLDINGS LTDCOM CL AG1355U1131,160116,910SH DFND3116,91000
    BRIDGETOWN HOLDINGS LTDW EXP 09/30/202G1355U1211977,192SH DFND177,19200
    BRIGHAM MINERALS INCCL A COM10918L10342217,131SH DFND117,13100
    BRIGHAM MINERALS INCCOM10918L9031,44358,600SHCallDFND2000
    BRIGHT HEALTH GROUP INCCOM10920V107445244,649SH DFND1244,64900
    BRIGHT HEALTH GROUP INCCOM10920V10717696,586SH DFND296,58600
    BRIGHT HEALTH GROUP INCCOM10920V9077843,000SHCallDFND2000
    BRIGHT HEALTH GROUP INCCOM10920V9576033,000SHPutDFND233,00000
    BRIGHT HORIZONS FAM SOL IN DCOM1091941002,40728,484SH DFND128,48400
    BRIGHT HORIZONS FAM SOL IN DCOM10919410027324SH DFND232400
    BRIGHT HORIZONS FAM SOL IN DCOM1091949502282,700SHPutDFND22,70000
    BRIGHT LIGHTS ACQUISITION COCOM CL A10920K1011,621164,714SH DFND1136,33300
    BRIGHT LIGHTS ACQUISITION COW EXP 01/01/20210920K119113,716SH DFND113,71600
    BRIGHT MINDS BIOSCIENCES INCCOM10919W1082024,700SH DFND324,70000
    BRIGHTCOVE INCCOM10921T10113020,495SH DFND120,49500
    BRIGHTHOUSE FINL INCCOM10922N1033,18777,704SH DFND177,70400
    BRIGHTHOUSE FINL INCCOM10922N9031,85045,100SHCallDFND2000
    BRIGHTHOUSE FINL INCCOM10922N95359114,400SHPutDFND214,40000
    BRIGHTSPHERE INVT GROUP INCCOM10948W10390250,111SH DFND150,11100
    BRIGHTSPIRE CAPITAL INCCOM CL A10949T109876116,071SH DFND1116,07100
    BRIGHTVIEW HLDGS INCCOM10948C10745137,612SH DFND137,61200
    BRINKER INTL INCCOM1096411001,04947,600SH DFND147,60000
    BRINKER INTL INCCOM10964110091141,352SH DFND241,35200
    BRINKER INTL INCCOM1096419001,50968,500SHCallDFND2000
    BRINKER INTL INCCOM1096419502,705122,800SHPutDFND2122,80000
    BRINKS COCOM1096961042,16735,693SH DFND135,69300
    BRISTOL-MYERS SQUIBB COCOM11012210886,8521,127,944SH DFND11,127,94400
    BRISTOL-MYERS SQUIBB COCOM110122908387,4185,031,400SHCallDFND2000
    BRISTOL-MYERS SQUIBB COCOM110122958108,5471,409,700SHPutDFND21,409,70000
    BRITISH AMERN TOB PLCSPONSORED ADR1104481071,33931,194SH DFND131,19400
    BRITISH AMERN TOB PLCCOM11044890774717,400SHCallDFND2000
    BRITISH AMERN TOB PLCCOM1104489572966,900SHPutDFND26,90000
    BRIXMOR PPTY GROUP INCCOM11120U90534016,800SHCallDFND2000
    BROADCOM INCCOM11135F10129,38960,495SH DFND160,49500
    BROADCOM INCCOM11135F1017,47515,387SH DFND215,38700
    BROADCOM INC8% MCNV PFD SR A11135F2006,0884,050SH DFND14,05000
    BROADCOM INC8% MCNV PFD SR A11135F2004,7053,130SH DFND33,13000
    BROADCOM INCCOM11135F901199,862411,400SHCallDFND2000
    BROADCOM INCCOM11135F951161,775333,000SHPutDFND2333,00000
    BROADMARK RLTY CAP INCW EXP 11/15/20211135B118222,726SH DFND122,72600
    BROADRIDGE FINL SOLUTIONS INCOM11133T9036704,700SHCallDFND2000
    BROADSCALE ACQUISITION CORPCOM CL A11134Y1016654SH DFND165400
    BROADSCALE ACQUISITION CORPCOM CL A11134Y1012,982303,644SH DFND3303,64400
    BROADSCALE ACQUISITION CORPW EXP 02/02/20211134Y1191875,000SH DFND175,00000
    BROADSCALE ACQUISITION CORPUNIT 02/02/202611134Y20042242,848SH DFND142,84800
    BROADSTONE NET LEASE INCCOM11135E90355627,100SHCallDFND2000
    BROADWAY FINL CORP DELCOM1114441056460,579SH DFND160,57900
    BROOKDALE SR LIVING INCCOM11246310427961,476SH DFND161,47600
    BROOKDALE SR LIVING INCCOM1124639044610,200SHCallDFND1000
    BROOKFIELD ASSET MGMT INCCL A LTD VT SH1125851041,20427,067SH DFND127,06700
    BROOKFIELD ASSET MGMT INCCL A LTD VT SH1125851047,764174,584SH DFND3174,58400
    BROOKFIELD ASSET MGMT INCCOM11258590455112,400SHCallDFND2000
    BROOKFIELD ASSET MGMT INCCOM1125859541,54334,700SHPutDFND234,70000
    BROOKFIELD INFRAST PARTNERSLP INT UNITG162521011092,852SH DFND12,85200
    BROOKFIELD INFRAST PARTNERSLP INT UNITG162521011,64142,937SH DFND342,93700
    BROOKFIELD INFRAST PARTNERSCOMG162529013449,000SHCallDFND2000
    BROOKFIELD INFRAST PARTNERSCOMG162529512817,350SHPutDFND27,35000
    BROOKFIELD INFRASTRUCTURE COCOM SB VTG SHS A11275Q10756613,307SH DFND113,30700
    BROOKFIELD INFRASTRUCTURE COCOM SB VTG SHS A11275Q10756813,371SH DFND313,37100
    BROOKFIELD RENEWABLE CORPCL A SUB VTG11284V1051363,822SH DFND13,82200
    BROOKFIELD RENEWABLE CORPCL A SUB VTG11284V1051012,828SH DFND32,82800
    BROOKFIELD RENEWABLE CORPCOM11284V9051,41439,700SHCallDFND2000
    BROOKFIELD RENEWABLE CORPCOM11284V9552146,000SHPutDFND26,00000
    BROOKFIELD RENEWABLE PARTNERPARTNERSHIP UNITG162581082065,927SH DFND15,92700
    BROOKFIELD RENEWABLE PARTNERPARTNERSHIP UNITG162581081,01929,274SH DFND329,27400
    BROOKFIELD RENEWABLE PARTNERCOMG1625890887025,000SHCallDFND2000
    BROOKFIELD RENEWABLE PARTNERCOMG1625895866819,200SHPutDFND219,20000
    BROOKLINE BANCORP INC DELCOM11373M10716212,192SH DFND112,19200
    BROOKLINE CAP ACQUISITION COCOM11374E10478677,350SH DFND177,35000
    BROOKLINE CAP ACQUISITION COW EXP 08/31/20211374E112325,708SH DFND125,70800
    BROOKLYN IMMUNOTHERAPEUTICSCOM1140821001020,208SH DFND120,20800
    BROWN & BROWN INCCOM1152361011,55526,650SH DFND126,65000
    BROWN & BROWN INCCOM1152369013335,700SHCallDFND2000
    BROWN FORMAN CORPCL B1156372091,67823,920SH DFND123,92000
    BROWN FORMAN CORPCOM1156379097,051100,500SHCallDFND2000
    BROWN FORMAN CORPCOM1156379593374,800SHPutDFND24,80000
    BRP INCCOM SUN VTG05577W2006105SH DFND110500
    BRP INCCOM SUN VTG05577W2007,182116,730SH DFND3116,73000
    BRUKER CORPCOM1167941081,66626,541SH DFND126,54100
    BRUKER CORPCOM1167949082,79944,600SHCallDFND2000
    BRUNSWICK CORPCOM11704310985113,015SH DFND113,01500
    BRUNSWICK CORPCOM1170431094036,169SH DFND26,16900
    BRUNSWICK CORPCOM1170439091,49122,800SHCallDFND2000
    BRUNSWICK CORPCOM1170439591,58924,300SHPutDFND224,30000
    BTCS INCCOM NEW05581M4041510,304SH DFND110,30400
    BUCKLE INCCOM11844010630110,867SH DFND110,86700
    BUCKLE INCCOM1184409061,13541,000SHCallDFND2000
    BUCKLE INCCOM11844095644015,900SHPutDFND215,90000
    BUILD-A-BEAR WORKSHOP INCCOM12007610422013,381SH DFND113,38100
    BUILD-A-BEAR WORKSHOP INCCOM12007690440424,600SHCallDFND2000
    BUILD-A-BEAR WORKSHOP INCCOM12007695433220,200SHPutDFND220,20000
    BUILDERS FIRSTSOURCE INCCOM12008R10713,299247,659SH DFND1247,65900
    BUILDERS FIRSTSOURCE INCCOM12008R1072,33543,485SH DFND243,48500
    BUILDERS FIRSTSOURCE INCCOM12008R9075,886109,600SHCallDFND2000
    BUILDERS FIRSTSOURCE INCCOM12008R9579,349174,100SHPutDFND2174,10000
    BUMBLE INCCOM CL A12047B1051,07438,149SH DFND138,14900
    BUMBLE INCCOM CL A12047B10545516,165SH DFND216,16500
    BUMBLE INCCOM12047B9057,398262,800SHCallDFND2000
    BUMBLE INCCOM12047B9554,935175,300SHPutDFND2175,30000
    BUNGE LIMITEDCOMG169621052,52327,819SH DFND127,81900
    BUNGE LIMITEDCOMG169621052,60828,758SH DFND228,75800
    BUNGE LIMITEDCOMG1696290532,277355,900SHCallDFND2000
    BUNGE LIMITEDCOMG1696295522,854252,000SHPutDFND2252,00000
    BURLINGTON STORES INCCOM12201710676,182557,447SH DFND1386,15900
    BURLINGTON STORES INCCOM12201710618,109132,929SH DFND2132,92900
    BURLINGTON STORES INCCOM1220179069,15567,200SHCallDFND2000
    BURLINGTON STORES INCCOM12201795631,428230,700SHPutDFND2230,70000
    BURLINGTON STORES INCNOTE 2.250% 4/1122017AB29971,000,000SH DFND11,000,00000
    BURNING ROCK BIOTECH LTDSPONSORED ADS12233L1076221,232SH DFND121,23200
    BUTTERFLY NETWORK INCCOM124155902843274,500SHCallDFND2000
    BUTTERFLY NETWORK INCCOM1241559529531,100SHPutDFND231,10000
    BWX TECHNOLOGIES INCCOM05605H1001,05919,215SH DFND119,21500
    BWX TECHNOLOGIES INCCOM05605H10078714,289SH DFND214,28900
    BWX TECHNOLOGIES INCCOM05605H9004027,300SHCallDFND2000
    BWX TECHNOLOGIES INCCOM05605H9503756,800SHPutDFND26,80000
    BYTE ACQUISITION CORPUNIT 03/18/2029G1R25Q12111,7611,195,880SH DFND11,195,88000
    C H ROBINSON WORLDWIDE INCCOM NEW12541W2098,59584,786SH DFND184,78600
    C H ROBINSON WORLDWIDE INCCOM12541W90919,696194,300SHCallDFND2000
    C H ROBINSON WORLDWIDE INCCOM12541W95914,161139,700SHPutDFND2139,70000
    C3 AI INCCL A12468P1041,46079,938SH DFND179,93800
    C3 AI INCCOM12468P9048,314455,300SHCallDFND2000
    C3 AI INCCOM12468P9545,973327,100SHPutDFND2327,10000
    C4 THERAPEUTICS INCCOM12529R90725634,000SHCallDFND2000
    CABALETTA BIO INCCOM12674W1091211,158SH DFND111,15800
    CABOT CORPCOM12705510191314,318SH DFND114,31800
    CABOT CORPCOM1270551012924,584SH DFND24,58400
    CABOT CORPCOM1270559011,56324,500SHCallDFND2000
    CABOT CORPCOM1270559511,86329,200SHPutDFND229,20000
    CACI INTL INCCOM1271909048453,000SHCallDFND2000
    CADENCE BANKCOM12740C1031,11047,266SH DFND147,26600
    CADENCE DESIGN SYSTEM INCCOM12738710815,006100,023SH DFND1100,02300
    CADENCE DESIGN SYSTEM INCCOM1273879088,61257,400SHCallDFND2000
    CADENCE DESIGN SYSTEM INCCOM12738795810,03766,900SHPutDFND266,90000
    CADRE HLDGS INCCOM12763L1056283SH DFND128300
    CADRE HLDGS INCCOM12763L1051,02752,219SH DFND352,21900
    CAE INCCOM1247651087300SH DFND130000
    CAE INCCOM12476510868427,792SH DFND327,79200
    CAESARS ENTERTAINMENT INC NECOM12769G10070518,410SH DFND118,41000
    CAESARS ENTERTAINMENT INC NECOM12769G1004,638121,094SH DFND2121,09400
    CAESARS ENTERTAINMENT INC NECOM12769G90023,589615,900SHCallDFND2000
    CAESARS ENTERTAINMENT INC NECOM12769G95021,138551,900SHPutDFND2551,90000
    CAL MAINE FOODS INCCOM NEW1280302022,00940,660SH DFND140,66000
    CAL MAINE FOODS INCCOM1280309023,34067,600SHCallDFND2000
    CAL MAINE FOODS INCCOM1280309523,89478,800SHPutDFND278,80000
    CALADRIUS BIOSCIENCES INCCOM NEW128058203917,156SH DFND117,15600
    CALERES INCCOM1295001041,61761,640SH DFND161,64000
    CALERES INCCOM1295009044,007152,700SHCallDFND2000
    CALERES INCCOM12950095431812,100SHPutDFND212,10000
    CALIFORNIA RES CORPCOM STOCK13057Q30552713,685SH DFND113,68500
    CALIFORNIA RES CORPCOM13057Q9051,63642,500SHCallDFND2000
    CALIX INCCOM13100M50985024,884SH DFND124,88400
    CALIX INCCOM13100M5091323,861SH DFND23,86100
    CALIX INCCOM13100M90951615,100SHCallDFND2000
    CALIX INCCOM13100M95943012,600SHPutDFND212,60000
    CALLAWAY GOLF COCOM13119310456427,625SH DFND127,62500
    CALLAWAY GOLF COCOM13119310438318,753SH DFND218,75300
    CALLAWAY GOLF COCOM1311939048,599421,500SHCallDFND2000
    CALLAWAY GOLF COCOM1311939546,499318,600SHPutDFND2318,60000
    CALLIDITAS THERAPEUTICS ABSPONSERED ADS13124Q10621011,605SH DFND111,60500
    CALLON PETE CO DELCOM13123X5083,33084,945SH DFND184,94500
    CALLON PETE CO DELCOM13123X5083,53590,191SH DFND290,19100
    CALLON PETE CO DELCOM13123X90818,118462,200SHCallDFND2000
    CALLON PETE CO DELCOM13123X95812,007306,300SHPutDFND2306,30000
    CALUMET SPECIALTY PRODS PARTUT LTD PARTNER13147610324423,450SH DFND123,45000
    CALYXT INCCOM13173L1071353,887SH DFND153,88700
    CAMBER ENERGY INCCOM13200M5083383,422SH DFND183,42200
    CAMBER ENERGY INCCOM13200M9085151,297,400SHCallDFND2000
    CAMBER ENERGY INCCOM13200M9582357,900SHPutDFND257,90000
    CAMBRIA ETF TRCAMBRIA FGN SHR13206130059025,381SH DFND125,38100
    CAMBRIA ETF TRGLOBAL VALUE ETF1320614094,692260,101SH DFND1171,49000
    CAMBRIA ETF TRGLB MOMENT ETF13206150839113,248SH DFND113,24800
    CAMBRIA ETF TREMRG SHAREHLDR13206170692934,769SH DFND134,76900
    CAMBRIA ETF TRGBL TAIL RISK ET13206180559026,393SH DFND126,39300
    CAMBRIA ETF TRGBL REAL EST ETF13206181364624,137SH DFND124,13700
    CAMBRIA ETF TRCANNABIS ETF13206182174692,022SH DFND192,02200
    CAMBRIA ETF TRTAIL RISK13206186247126,783SH DFND126,78300
    CAMDEN NATL CORPCOM1330341082485,626SH DFND15,62600
    CAMDEN PPTY TRSH BEN INT1331311025454,054SH DFND14,05400
    CAMDEN PPTY TRCOM1331319029957,400SHCallDFND2000
    CAMDEN PPTY TRCOM1331319522,32717,300SHPutDFND217,30000
    CAMECO CORPCOM13321L10895245,304SH DFND145,30400
    CAMECO CORPCOM13321L10813,869659,813SH DFND2659,81300
    CAMECO CORPCOM13321L1084,599218,772SH DFND3218,77200
    CAMECO CORPCOM13321L90860,9542,899,800SHCallDFND2000
    CAMECO CORPCOM13321L95823,7001,127,500SHPutDFND21,127,50000
    CAMPBELL SOUP COCOM13442910917,107356,016SH DFND1351,91600
    CAMPBELL SOUP COCOM1344299098,827183,700SHCallDFND2000
    CAMPBELL SOUP COCOM1344299593,34469,600SHPutDFND269,60000
    CAMPING WORLD HLDGS INCCL A13462K10990641,953SH DFND141,95300
    CAMPING WORLD HLDGS INCCOM13462K9095,307245,800SHCallDFND2000
    CAMPING WORLD HLDGS INCCOM13462K9594,165192,900SHPutDFND2192,90000
    CAMTEK LTDORDM2079110532112,916SH DFND112,91600
    CAMTEK LTDORDM207911052,17187,327SH DFND287,32700
    CAMTEK LTDCOMM207919053,418137,500SHCallDFND2000
    CAMTEK LTDCOMM207919554,838194,600SHPutDFND2194,60000
    CANAAN INCSPONSORED ADS134748102931289,249SH DFND1289,24900
    CANAAN INCCOM134748902962298,700SHCallDFND2000
    CANAAN INCCOM13474895217955,700SHPutDFND255,70000
    CANADA GOOSE HLDGS INCSHS SUB VTG13508610623212,871SH DFND112,87100
    CANADA GOOSE HLDGS INCSHS SUB VTG1350861061468,100SH DFND28,10000
    CANADA GOOSE HLDGS INCSHS SUB VTG1350861061669,197SH DFND39,19700
    CANADA GOOSE HLDGS INCCOM13508690683646,400SHCallDFND2000
    CANADA GOOSE HLDGS INCCOM1350869561,37276,200SHPutDFND276,20000
    CANADIAN IMP BK COMMCOM1360691013376,947SH DFND16,94700
    CANADIAN IMP BK COMMCOM1360691012334,800SH DFND24,80000
    CANADIAN IMP BK COMMCOM1360691016,717138,377SH DFND3138,37700
    CANADIAN IMP BK COMMCOM1360699018,946184,300SHCallDFND2000
    CANADIAN IMP BK COMMCOM1360699511,97640,700SHPutDFND240,70000
    CANADIAN NAT RES LTDCOM1363851012,99255,689SH DFND155,68900
    CANADIAN NAT RES LTDCOM13638510154310,105SH DFND210,10500
    CANADIAN NAT RES LTDCOM13638510112,164226,434SH DFND3226,43400
    CANADIAN NAT RES LTDCOM13638590112,334229,600SHCallDFND2000
    CANADIAN NAT RES LTDCOM1363859517,360137,000SHPutDFND2137,00000
    CANADIAN NATL RY COCOM1363751021,31311,670SH DFND111,67000
    CANADIAN NATL RY COCOM13637510223,968213,109SH DFND3213,10900
    CANADIAN NATL RY COCOM1363759023,25028,900SHCallDFND2000
    CANADIAN NATL RY COCOM1363759521,76615,700SHPutDFND215,70000
    CANADIAN PAC RY LTDCOM13645T1002,38534,150SH DFND134,15000
    CANADIAN PAC RY LTDCOM13645T10013,393191,795SH DFND3191,79500
    CANADIAN PAC RY LTDCOM13645T9009,254132,500SHCallDFND2000
    CANADIAN PAC RY LTDCOM13645T9503,19945,800SHPutDFND245,80000
    CANADIAN SOLAR INCCOM13663510989728,818SH DFND128,81800
    CANADIAN SOLAR INCCOM1366351092,88492,605SH DFND292,60500
    CANADIAN SOLAR INCCOM1366359099,999321,100SHCallDFND2000
    CANADIAN SOLAR INCCOM1366359593,198102,700SHPutDFND2102,70000
    CANGO INCADS1375861034419,455SH DFND119,45500
    CANNAE HLDGS INCCOM13765N10743922,693SH DFND122,69300
    CANO HEALTH INCCOM CL A13781Y10320947,762SH DFND147,76200
    CANO HEALTH INCCOM CL A13781Y10312227,939SH DFND227,93900
    CANO HEALTH INCCOM13781Y903594135,700SHCallDFND2000
    CANO HEALTH INCCOM13781Y95316337,200SHPutDFND237,20000
    CANOO INCCOM CL A13803R1021910,336SH DFND110,33600
    CANOO INCCOM13803R902730394,600SHCallDFND2000
    CANOO INCCOM13803R9522111,100SHPutDFND211,10000
    CANOPY GROWTH CORPCOM138035100474166,774SH DFND1166,77400
    CANOPY GROWTH CORPCOM138035100704247,808SH DFND3247,80800
    CANOPY GROWTH CORPCOM1380359002,315814,300SHCallDFND2000
    CANOPY GROWTH CORPCOM1380359501,198421,300SHPutDFND2421,30000
    CANTALOUPE INCCOM1381031069316,586SH DFND116,58600
    CAPITAL GROUP CORE PLUS INCOSHS CREATION UNI14020Y1024,671200,804SH DFND1200,80400
    CAPITAL GROUP DIVIDEND VALUESHS CREATION UNI14020W10683537,418SH DFND137,41800
    CAPITAL GROUP GBL GROWTH EQTSHS CREATION UNI14020X1046,238310,663SH DFND1310,66300
    CAPITAL GROUP GROWTH ETFSHS CREATION UNI14020G1014,668233,877SH DFND1233,87700
    CAPITAL GROUP INTL FOCUS EQTSHS CREATION UNI14019W1092,772134,225SH DFND1134,22500
    CAPITAL ONE FINL CORPCOM14040H10587,292837,812SH DFND1531,42800
    CAPITAL ONE FINL CORPCOM14040H1055,22150,114SH DFND250,11400
    CAPITAL ONE FINL CORPCOM14040H90534,654332,600SHCallDFND2000
    CAPITAL ONE FINL CORPCOM14040H95519,963191,600SHPutDFND2191,60000
    CAPITAL SOUTHWEST CORPCOM14050110741822,716SH DFND122,71600
    CAPITOL FED FINL INCCOM14057J10128731,265SH DFND131,26500
    CAPRI HOLDINGS LIMITEDSHSG1890L1072465,991SH DFND15,99100
    CAPRI HOLDINGS LIMITEDSHSG1890L10712300SH DFND230000
    CAPRI HOLDINGS LIMITEDCOMG1890L90716,211395,300SHCallDFND2000
    CAPRI HOLDINGS LIMITEDCOMG1890L9578,932217,800SHPutDFND2217,80000
    CARA THERAPEUTICS INCCOM14075510915917,382SH DFND117,38200
    CARA THERAPEUTICS INCCOM1407551099510,436SH DFND210,43600
    CARDINAL HEALTH INCCOM14149Y1087,057135,003SH DFND1135,00300
    CARDINAL HEALTH INCCOM14149Y10873314,021SH DFND214,02100
    CARDINAL HEALTH INCCOM14149Y90812,827245,400SHCallDFND2000
    CARDINAL HEALTH INCCOM14149Y9586,915132,300SHPutDFND2132,30000
    CARDIOVASCULAR SYS INC DELCOM14161910616011,138SH DFND111,13800
    CARDLYTICS INCCOM14161W1051808,081SH DFND18,08100
    CARDLYTICS INCCOM14161W1051205,397SH DFND25,39700
    CAREDX INCCOM14167L10348922,752SH DFND122,75200
    CAREDX INCCOM14167L103287SH DFND28700
    CARGURUS INCCOM CL A14178810942319,696SH DFND119,69600
    CARGURUS INCCOM CL A14178810961128,421SH DFND228,42100
    CARGURUS INCCOM1417889093,316154,300SHCallDFND2000
    CARGURUS INCCOM1417889591,19555,600SHPutDFND255,60000
    CARLISLE COS INCCOM14233910012,24651,321SH DFND151,32100
    CARLISLE COS INCCOM1423399005972,500SHCallDFND2000
    CARLYLE GROUP INCCOM14316J9088,270261,200SHCallDFND2000
    CARLYLE GROUP INCCOM14316J9583,954124,900SHPutDFND2124,90000
    CARLYLE SECURED LENDING INCCOM87228010223018,130SH DFND118,13000
    CARMAX INCCOM1431301028,79097,144SH DFND197,14400
    CARMAX INCCOM14313090218,892208,800SHCallDFND2000
    CARMAX INCCOM14313095226,791296,100SHPutDFND2296,10000
    CARNEY TECHNOLOGY ACQU CORPCL A COMMON STK143636108151,496SH DFND11,49600
    CARNEY TECHNOLOGY ACQU CORPCL A COMMON STK1436361085,836592,537SH DFND3592,53700
    CARNEY TECHNOLOGY ACQU CORPW EXP 11/30/20214363611627166,900SH DFND1166,90000
    CARNIVAL CORPCOMMON STOCK1436583003,682425,611SH DFND1425,61100
    CARNIVAL CORPCOMMON STOCK14365830021,5202,487,857SH DFND22,487,85700
    CARNIVAL CORPCOMMON STOCK1436583001,707197,326SH DFND3197,32600
    CARNIVAL CORPCOM14365890060,6047,006,300SHCallDFND2000
    CARNIVAL CORPCOM14365895066,0707,638,100SHPutDFND27,638,10000
    CARNIVAL PLCADR14365C1035,961754,554SH DFND1754,55400
    CARNIVAL PLCADR14365C103688,575SH DFND28,57500
    CARNIVAL PLCCOM14365C90323930,300SHCallDFND2000
    CARNIVAL PLCCOM14365C9538510,800SHPutDFND210,80000
    CARPARTS COM INCCOM14427M10737153,415SH DFND153,41500
    CARPARTS COM INCCOM14427M107507,196SH DFND27,19600
    CARPARTS COM INCCOM14427M90749571,300SHCallDFND2000
    CARPARTS COM INCCOM14427M95711616,700SHPutDFND216,70000
    CARPENTER TECHNOLOGY CORPCOM1442851032288,167SH DFND18,16700
    CARPENTER TECHNOLOGY CORPCOM1442851031535,485SH DFND25,48500
    CARPENTER TECHNOLOGY CORPCOM1442859032769,900SHCallDFND2000
    CARPENTER TECHNOLOGY CORPCOM14428595328510,200SHPutDFND210,20000
    CARRIAGE SVCS INCCOM14390510771618,063SH DFND118,06300
    CARRIER GLOBAL CORPORATIONCOM14448C10416,485462,280SH DFND1462,28000
    CARRIER GLOBAL CORPORATIONCOM14448C90410,149284,600SHCallDFND2000
    CARRIER GLOBAL CORPORATIONCOM14448C9544,985139,800SHPutDFND2139,80000
    CARS COM INCCOM14575E90542845,400SHCallDFND2000
    CARS COM INCCOM14575E95526828,400SHPutDFND228,40000
    CARTERS INCCOM1462291091,95227,693SH DFND127,69300
    CARTESIAN GROWTH CORPUNIT 02/26/2028G192761231,151111,373SH DFND1111,37300
    CARVANA COCL A14686910282636,565SH DFND136,56500
    CARVANA COCL A14686910259426,307SH DFND226,30700
    CARVANA COCOM14686990289,6253,969,200SHCallDFND2000
    CARVANA COCOM14686995223,5461,042,800SHPutDFND21,042,80000
    CASA SYS INCCOM14713L102318,003SH DFND18,00300
    CASA SYS INCCOM14713L1024010,158SH DFND210,15800
    CASA SYS INCCOM14713L9524210,600SHPutDFND210,60000
    CASELLA WASTE SYS INCCL A1474481043374,640SH DFND14,64000
    CASEYS GEN STORES INCCOM1475281034882,640SH DFND12,64000
    CASEYS GEN STORES INCCOM1475281033141,696SH DFND21,69600
    CASEYS GEN STORES INCCOM1475289531,5358,300SHPutDFND28,30000
    CASSAVA SCIENCES INCCOM14817C10742815,203SH DFND115,20300
    CASSAVA SCIENCES INCCOM14817C9078,672308,400SHCallDFND2000
    CASSAVA SCIENCES INCCOM14817C9574,606163,800SHPutDFND2163,80000
    CASTOR MARITIME INCSHS NEWY1146L1251510,992SH DFND110,99200
    CASTOR MARITIME INCCOMY1146L905313233,700SHCallDFND2000
    CATALENT INCCOM1488061021,16910,894SH DFND110,89400
    CATALENT INCCOM1488061022,97827,756SH DFND227,75600
    CATALENT INCCOM1488069026335,900SHCallDFND2000
    CATALENT INCCOM14880695217,102159,400SHPutDFND2159,40000
    CATALYST PARTNRS ACQUISITN CUNIT 99/99/9999G195501132223SH DFND122300
    CATALYST PARTNRS ACQUISITN CUNIT 99/99/9999G195501135,907604,646SH DFND3604,64600
    CATALYST PHARMACEUTICALS INCCOM14888U10114120,183SH DFND120,18300
    CATALYST PHARMACEUTICALS INCCOM14888U101283,962SH DFND23,96200
    CATALYST PHARMACEUTICALS INCCOM14888U90115822,600SHCallDFND2000
    CATCHA INVESTMENT CORPSHS CL AG1962Y1023,703377,137SH DFND1285,69200
    CATCHA INVESTMENT CORPW EXP 99/99/999G1962Y110766,820SH DFND166,82000
    CATCHA INVESTMENT CORPUNIT 99/99/9999G1962Y12813914,192SH DFND114,19200
    CATCHMARK TIMBER TR INCCL A14912Y20228328,099SH DFND128,09900
    CATERPILLAR INCCOM14912310124,291135,885SH DFND1135,88500
    CATERPILLAR INCCOM1491231014,63525,929SH DFND225,92900
    CATERPILLAR INCCOM149123901160,991900,600SHCallDFND2000
    CATERPILLAR INCCOM149123951162,832910,900SHPutDFND2910,90000
    CATHAY GEN BANCORPCOM14915010459315,147SH DFND115,14700
    CATO CORP NEWCL A14920510636231,143SH DFND131,14300
    CAVCO INDS INC DELCOM1495681072161,104SH DFND11,10400
    CAZOO GROUP LTDCOMG2007L105710,228SH DFND110,22800
    CAZOO GROUP LTDCOMG2007L1052940,370SH DFND240,37000
    CAZOO GROUP LTDW EXP 08/26/202G2007L11315162,889SH DFND1162,88900
    CAZOO GROUP LTDCOMG2007L9551,4091,957,500SHPutDFND21,957,50000
    CBAK ENERGY TECHNOLOGY INCCOM14986C1024643,288SH DFND143,28800
    CBAK ENERGY TECHNOLOGY INCCOM14986C102059SH DFND25900
    CBDMD INCCOM12482W1011023,744SH DFND123,74400
    CBIZ INCCOM12480510252613,158SH DFND113,15800
    CBOE GLOBAL MKTS INCCOM12503M1081,82516,122SH DFND116,12200
    CBOE GLOBAL MKTS INCCOM12503M90827,743245,100SHCallDFND2000
    CBOE GLOBAL MKTS INCCOM12503M95813,583120,000SHPutDFND2120,00000
    CBRE GROUP INCCL A12504L1095,82779,165SH DFND179,16500
    CBRE GROUP INCCOM12504L9093,74750,900SHCallDFND2000
    CC NEUBERGER PRIN HLDGS IISHS CL AG3166T10315,8951,591,073SH DFND1799,89700
    CC NEUBERGER PRIN HLDGS IISHS CL AG3166T1031,308130,969SH DFND3130,96900
    CC NEUBERGER PRIN HLDGS IIW EXP 07/29/202G3166T1112451,517SH DFND151,51700
    CC NEUBERGER PRINCIPAL HOLDNSHS CL AG1992N1004417SH DFND141700
    CC NEUBERGER PRINCIPAL HOLDNSHS CL AG1992N1003,357341,197SH DFND3341,19700
    CC NEUBERGER PRINCIPAL HOLDNUNIT 99/99/9999G1992N11859059,962SH DFND159,96200
    CC NEUBERGER PRINCIPAL HOLDNW EXP 99/99/999G1992N1261860,311SH DFND160,31100
    CCC INTELLIGENT SOLUTIONS HLCOM12510Q10011112,110SH DFND112,11000
    CCC INTELLIGENT SOLUTIONS HLCOM12510Q1007788SH DFND278800
    CDK GLOBAL INCCOM12508E9011,03518,900SHCallDFND2000
    CDW CORPCOM12514G1083,52022,343SH DFND122,34300
    CDW CORPCOM12514G10814SH DFND2400
    CDW CORPCOM12514G9086143,900SHCallDFND2000
    CEDAR FAIR L PCOM1501859064,593104,600SHCallDFND2000
    CEDAR FAIR L PCOM1501859562,95167,200SHPutDFND267,20000
    CELANESE CORP DELCOM1508701031,54413,132SH DFND113,13200
    CELANESE CORP DELCOM1508709034353,700SHCallDFND2000
    CELANESE CORP DELCOM1508709535064,300SHPutDFND24,30000
    CELESTICA INCSUB VTG SHS15101Q108121,254SH DFND11,25400
    CELESTICA INCSUB VTG SHS15101Q10815816,299SH DFND316,29900
    CELLDEX THERAPEUTICS INC NEWCOM NEW15117B2021,96372,821SH DFND172,82100
    CELLDEX THERAPEUTICS INC NEWCOM NEW15117B2022,768102,685SH DFND2102,68500
    CELLDEX THERAPEUTICS INC NEWCOM15117B90212,925479,400SHCallDFND2000
    CELLDEX THERAPEUTICS INC NEWCOM15117B9525,416200,900SHPutDFND2200,90000
    CELLECTAR BIOSCIENCES INCCOM PAR15117F500513,543SH DFND113,54300
    CELLECTIS S ASPON ADS15117K1031,363490,230SH DFND1490,23000
    CELSIUS HLDGS INCCOM NEW15118V20772111,050SH DFND111,05000
    CELSIUS HLDGS INCCOM15118V9077,681117,700SHCallDFND2000
    CELSIUS HLDGS INCCOM15118V95711,238172,200SHPutDFND2172,20000
    CEMEX SAB DE CVSPON ADR NEW1512908891,142291,411SH DFND2291,41100
    CEMEX SAB DE CVCOM151290909476121,500SHCallDFND2000
    CEMEX SAB DE CVCOM1512909592,365603,200SHPutDFND2603,20000
    CEMTREX INCCOM NEW15130G600930,544SH DFND130,54400
    CENNTRO ELECTRIC GROUP LIMITORD SHSQ6519V1203120,813SH DFND120,81300
    CENNTRO ELECTRIC GROUP LIMITORD SHSQ6519V12063,992SH DFND23,99200
    CENNTRO ELECTRIC GROUP LIMITCOMQ6519V900278184,000SHCallDFND2000
    CENNTRO ELECTRIC GROUP LIMITCOMQ6519V95011374,600SHPutDFND274,60000
    CENOVUS ENERGY INCCOM15135U1098,966471,669SH DFND3471,66900
    CENOVUS ENERGY INCCOM15135U90937,2541,959,700SHCallDFND2000
    CENOVUS ENERGY INCCOM15135U9599,562503,000SHPutDFND2503,00000
    CENTENE CORP DELCOM15135B1017,66790,611SH DFND190,61100
    CENTENE CORP DELCOM15135B1011,67119,745SH DFND219,74500
    CENTENE CORP DELCOM15135B90114,037165,900SHCallDFND2000
    CENTENE CORP DELCOM15135B95135,782422,900SHPutDFND2422,90000
    CENTENNIAL RESOURCE DEV INCCL A15136A1021,128188,622SH DFND1188,62200
    CENTENNIAL RESOURCE DEV INCCL A15136A10281,300SH DFND21,30000
    CENTENNIAL RESOURCE DEV INCCOM15136A9025,432908,300SHCallDFND2000
    CENTENNIAL RESOURCE DEV INCCOM15136A952814136,100SHPutDFND2136,10000
    CENTERPOINT ENERGY INCCOM15189T90718,585628,300SHCallDFND2000
    CENTERPOINT ENERGY INCCOM15189T95764521,800SHPutDFND221,80000
    CENTERRA GOLD INCCOM1520061021200SH DFND120000
    CENTERRA GOLD INCCOM15200610237254,829SH DFND354,82900
    CENTESSA PHARMACEUTICALS PLCSPONSORED ADS15230910019239,335SH DFND139,33500
    CENTRAIS ELETRICAS BRASILEIRSPONSORED ADR15234Q2071,446164,293SH DFND1164,29300
    CENTRAL GARDEN & PET COCL A NON-VTG15352720556013,997SH DFND113,99700
    CENTRUS ENERGY CORPCL A15643U10442817,288SH DFND117,28800
    CENTRUS ENERGY CORPCL A15643U10452321,126SH DFND221,12600
    CENTRUS ENERGY CORPCOM15643U9041,33954,100SHCallDFND2000
    CENTRUS ENERGY CORPCOM15643U95446818,900SHPutDFND218,90000
    CENTURY ALUM COCOM1564311081,478200,539SH DFND1200,53900
    CENTURY ALUM COCOM1564311081,654224,490SH DFND2224,49000
    CENTURY ALUM COCOM1564319082,773376,200SHCallDFND2000
    CENTURY ALUM COCOM1564319581,889256,300SHPutDFND2256,30000
    CENTURY CASINOS INCCOM15649210010114,078SH DFND114,07800
    CENTURY CMNTYS INCCOM1565043001,66837,089SH DFND137,08900
    CENTURY CMNTYS INCCOM1565049001,59235,400SHCallDFND2000
    CENTURY CMNTYS INCCOM15650495047210,500SHPutDFND210,50000
    CERAGON NETWORKS LTDORDM2201310215259,326SH DFND159,32600
    CERENCE INCCOM1567271091,40655,712SH DFND155,71200
    CERENCE INCCOM1567279092,795110,800SHCallDFND2000
    CERENCE INCCOM15672795939915,800SHPutDFND215,80000
    CEREVEL THERAPEUTICS HLDNG ICOM15678U9082338,800SHCallDFND2000
    CEREVEL THERAPEUTICS HLDNG ICOM15678U95846317,500SHPutDFND217,50000
    CERIDIAN HCM HLDG INCCOM15677J1081,05222,342SH DFND122,34200
    CERIDIAN HCM HLDG INCCOM15677J1081,25826,716SH DFND226,71600
    CERIDIAN HCM HLDG INCCOM15677J10810214SH DFND321400
    CERIDIAN HCM HLDG INCCOM15677J90850410,700SHCallDFND2000
    CERIDIAN HCM HLDG INCCOM15677J9581,72836,700SHPutDFND236,70000
    CERTARA INCCOM15687V109894,134SH DFND14,13400
    CERTARA INCCOM15687V1094,245197,830SH DFND3197,83000
    CERTARA INCCOM15687V9091,42366,300SHCallDFND2000
    CERUS CORPCOM15708510110720,198SH DFND120,19800
    CERUS CORPCOM15708590142379,900SHCallDFND2000
    CERUS CORPCOM157085951604114,200SHPutDFND2114,20000
    CF ACQUISITION CORP IVCOM CL A12520T10208SH DFND1800
    CF ACQUISITION CORP IVCOM CL A12520T1023,997406,217SH DFND3406,21700
    CF ACQUISITION CORP IVW EXP 12/31/20212520T110666,795SH DFND166,79500
    CF ACQUISITION CORP VIW EXP 02/18/20212521J1112719,067SH DFND119,06700
    CF ACQUISITION CORP VICOM12521J9032,270227,700SHCallDFND2000
    CF ACQUISITION CORP VICOM12521J95315615,600SHPutDFND215,60000
    CF ACQUISITION CORP VIIICLASS A COM12520C1092,149212,604SH DFND3212,60400
    CF ACQUISITION CORP VIIIW EXP 03/31/20212520C1171351,176SH DFND151,17600
    CF INDS HLDGS INCCOM1252691001,72920,172SH DFND120,17200
    CF INDS HLDGS INCCOM12526990032,577380,000SHCallDFND2000
    CF INDS HLDGS INCCOM12526995024,733288,500SHPutDFND2288,50000
    CGI INCCL A SUB VTG12532H1043464,340SH DFND14,34000
    CGI INCCL A SUB VTG12532H1044,27453,647SH DFND353,64700
    CHAMPIONX CORPORATIONCOM15872M10469835,164SH DFND135,16400
    CHAMPIONX CORPORATIONCOM15872M104844,231SH DFND24,23100
    CHAMPIONX CORPORATIONCOM15872M90456428,400SHCallDFND2000
    CHANGE HEALTHCARE INCCOM15912K10026211,377SH DFND111,37700
    CHANGE HEALTHCARE INCUNIT 06/30/202215912K2095,66276,817SH DFND176,81700
    CHANGE HEALTHCARE INCUNIT 06/30/202215912K20963853SH DFND385300
    CHANGE HEALTHCARE INCCOM15912K90025411,000SHCallDFND2000
    CHARGE ENTERPRISES INCCOM1596101046213,065SH DFND113,06500
    CHARGE ENTERPRISES INCCOM15961090416735,000SHCallDFND2000
    CHARGEPOINT HOLDINGS INCCOM CL A15961R1057,368538,238SH DFND1538,23800
    CHARGEPOINT HOLDINGS INCCOM CL A15961R10513,8301,010,200SH DFND21,010,20000
    CHARGEPOINT HOLDINGS INCCOM15961R90551,3063,747,700SHCallDFND2000
    CHARGEPOINT HOLDINGS INCCOM15961R95540,4222,952,700SHPutDFND22,952,70000
    CHARLES RIV LABS INTL INCCOM1598649074071,900SHCallDFND2000
    CHART INDS INCCOM16115Q3081,0396,208SH DFND16,20800
    CHART INDS INCCOM16115Q9081,94211,600SHCallDFND2000
    CHARTER COMMUNICATIONS INC NCL A16119P10849,992106,700SH DFND1106,70000
    CHARTER COMMUNICATIONS INC NCL A16119P1081,0552,251SH DFND22,25100
    CHARTER COMMUNICATIONS INC NCOM16119P90856,880121,400SHCallDFND2000
    CHARTER COMMUNICATIONS INC NCOM16119P95836,68678,300SHPutDFND278,30000
    CHECK CAP LTDSHSM2361E203928,559SH DFND128,55900
    CHECK POINT SOFTWARE TECH LTORDM224651046,50753,434SH DFND153,43400
    CHECK POINT SOFTWARE TECH LTCOMM2246590424,405200,400SHCallDFND2000
    CHECK POINT SOFTWARE TECH LTCOMM224659544,53037,200SHPutDFND237,20000
    CHECKPOINT THERAPEUTICS INCCOM1628281073231,099SH DFND131,09900
    CHEESECAKE FACTORY INCCOM16307210149818,842SH DFND118,84200
    CHEESECAKE FACTORY INCCOM16307210148318,272SH DFND218,27200
    CHEESECAKE FACTORY INCCOM16307210114539SH DFND353900
    CHEESECAKE FACTORY INCCOM1630729011,19945,400SHCallDFND2000
    CHEESECAKE FACTORY INCCOM1630729512,32287,900SHPutDFND287,90000
    CHEFS WHSE INCCOM16308690194524,300SHCallDFND2000
    CHEGG INCCOM1630929097,277387,500SHCallDFND2000
    CHEGG INCCOM1630929596,800362,100SHPutDFND2362,10000
    CHEGG INCNOTE 9/0163092AF61,1091,500,000SH DFND31,500,00000
    CHEMBIO DIAGNOSTICS INCCOM NEW1635722091522,472SH DFND122,47200
    CHEMED CORP NEWCOM16359R1032,1314,539SH DFND14,53900
    CHEMOCENTRYX INCCOM16383L1061,12545,399SH DFND145,39900
    CHEMOCENTRYX INCCOM16383L10668127,497SH DFND227,49700
    CHEMOCENTRYX INCCOM16383L9061,56963,300SHCallDFND2000
    CHEMOCENTRYX INCCOM16383L9561,23749,900SHPutDFND249,90000
    CHEMOURS COCOM16385110810,481327,337SH DFND1327,33700
    CHEMOURS COCOM1638519088,668270,700SHCallDFND2000
    CHEMOURS COCOM1638519586,010187,700SHPutDFND2187,70000
    CHENIERE ENERGY INCCOM NEW16411R20810,05075,550SH DFND175,55000
    CHENIERE ENERGY INCCOM16411R90838,645290,500SHCallDFND2000
    CHENIERE ENERGY INCCOM16411R95813,596102,200SHPutDFND2102,20000
    CHENIERE ENERGY PARTNERS LPCOM UNIT16411Q1012204,907SH DFND14,90700
    CHENIERE ENERGY PARTNERS LPCOM16411Q9011,30129,000SHCallDFND2000
    CHENIERE ENERGY PARTNERS LPCOM16411Q95150711,300SHPutDFND211,30000
    CHESAPEAKE ENERGY CORPCOM1651677353,55443,820SH DFND143,82000
    CHESAPEAKE ENERGY CORPCOM16516790538,952480,300SHCallDFND2000
    CHESAPEAKE ENERGY CORPCOM1651679554,33153,400SHPutDFND253,40000
    CHEVRON CORP NEWCOM16676410035,586245,794SH DFND1245,79400
    CHEVRON CORP NEWCOM1667641008,44758,341SH DFND258,34100
    CHEVRON CORP NEWCOM166764900270,0151,865,000SHCallDFND2000
    CHEVRON CORP NEWCOM166764950120,095829,500SHPutDFND2829,50000
    CHEWY INCCL A16679L10942512,245SH DFND112,24500
    CHEWY INCCL A16679L1091353,884SH DFND33,88400
    CHEWY INCCOM16679L90921,686624,600SHCallDFND2000
    CHEWY INCCOM16679L95929,123838,800SHPutDFND2838,80000
    CHICKEN SOUP FOR THE SOUL ENCL A16842Q100456,031SH DFND16,03100
    CHICKEN SOUP FOR THE SOUL ENCL A16842Q100658,821SH DFND38,82100
    CHICOS FAS INCCOM168615102665133,872SH DFND1133,87200
    CHICOS FAS INCCOM16861590244188,700SHCallDFND2000
    CHICOS FAS INCCOM1686159525410,900SHPutDFND210,90000
    CHILDRENS PL INC NEWCOM1689051072265,807SH DFND15,80700
    CHILDRENS PL INC NEWCOM1689051071894,860SH DFND24,86000
    CHILDRENS PL INC NEWCOM16890590781721,000SHCallDFND2000
    CHILDRENS PL INC NEWCOM16890595774319,100SHPutDFND219,10000
    CHIMERA INVT CORPCOM NEW16934Q208758,473SH DFND18,47300
    CHIMERA INVT CORPCOM NEW16934Q2087,430842,363SH DFND2842,36300
    CHIMERA INVT CORPCOM16934Q90856764,300SHCallDFND2000
    CHIMERA INVT CORPCOM16934Q95845851,900SHPutDFND251,90000
    CHIMERIX INCCOM16934W90613565,100SHCallDFND2000
    CHINA EASTN AIRLS LTDSPON ADR CL H16937R10474939,216SH DFND139,21600
    CHINA JO-JO DRUGSTORES INCORD SHSG2124G1121484SH DFND148400
    CHINA JO-JO DRUGSTORES INCORD SHSG2124G1122511,124SH DFND311,12400
    CHINA LIFE INS CO LTDSPON ADR REP H16939P10679591,963SH DFND191,96300
    CHINA PETROLEUM & CHEMICAL CSPON ADR H SHS16941R1081,11024,675SH DFND124,67500
    CHINA PETROLEUM & CHEMICAL CSPON ADR H SHS16941R1081,85841,305SH DFND241,30500
    CHINA PETROLEUM & CHEMICAL CCOM16941R9083287,300SHCallDFND2000
    CHINA PETROLEUM & CHEMICAL CCOM16941R9583,02867,300SHPutDFND267,30000
    CHINA SOUTHERN AIRLINES CO LSPON ADR CL H1694091092,74494,842SH DFND194,84200
    CHINDATA GROUP HLDGS LTDADS16955F1071,311168,957SH DFND1168,95700
    CHINDATA GROUP HLDGS LTDADS16955F10713016,737SH DFND216,73700
    CHINDATA GROUP HLDGS LTDCOM16955F90715520,000SHCallDFND2000
    CHINOOK THERAPEUTICS INCCOM16961L10627315,598SH DFND115,59800
    CHINOOK THERAPEUTICS INCCOM16961L1062100SH DFND210000
    CHIPOTLE MEXICAN GRILL INCCOM16965610513,93010,656SH DFND110,65600
    CHIPOTLE MEXICAN GRILL INCCOM1696561051,7201,316SH DFND21,31600
    CHIPOTLE MEXICAN GRILL INCCOM169656905141,707108,400SHCallDFND2000
    CHIPOTLE MEXICAN GRILL INCCOM16965695578,69760,200SHPutDFND260,20000
    CHOICE HOTELS INTL INCCOM1699051063463,101SH DFND13,10100
    CHOICE HOTELS INTL INCCOM1699059063,30429,600SHCallDFND2000
    CHROMADEX CORPCOM NEW1710774071810,848SH DFND110,84800
    CHUBB LIMITEDCOMH1467J1049724,945SH DFND14,94500
    CHUBB LIMITEDCOMH1467J90452,212265,600SHCallDFND2000
    CHUBB LIMITEDCOMH1467J9547,50938,200SHPutDFND238,20000
    CHURCH & DWIGHT CO INCCOM1713409025,27256,900SHCallDFND2000
    CHURCH & DWIGHT CO INCCOM1713409521,01010,900SHPutDFND210,90000
    CHURCHILL CAPITAL CORP VCOM CL A17144T1076640SH DFND164000
    CHURCHILL CAPITAL CORP VCOM CL A17144T1076,396650,679SH DFND3650,67900
    CHURCHILL CAPITAL CORP VICOM CL A17143W10110991SH DFND199100
    CHURCHILL CAPITAL CORP VICOM CL A17143W1011,248127,437SH DFND3127,43700
    CHURCHILL CAPITAL CORP VIW EXP 02/17/20217143W119410,462SH DFND110,46200
    CHURCHILL CAPITAL CORP VIUNIT 99/99/999917143W20088289,528SH DFND189,52800
    CHURCHILL CAPITAL CORP VIICOM CL A17144M1022208SH DFND120800
    CHURCHILL CAPITAL CORP VIICOM CL A17144M1025,973611,374SH DFND3611,37400
    CHURCHILL CAPITAL CORP VIIW EXP 02/29/20217144M1102160,847SH DFND160,84700
    CHURCHILL CAPITAL CORP VIIUNIT 99/99/999917144M201747,473SH DFND17,47300
    CHURCHILL CAPITAL CORP VIIUNIT 99/99/999917144M2016,073616,542SH DFND3616,54200
    CHURCHILL DOWNS INCCOM1714841081,5097,877SH DFND17,87700
    CHURCHILL DOWNS INCCOM1714841084002,087SH DFND22,08700
    CHURCHILL DOWNS INCCOM1714849087664,000SHCallDFND2000
    CIA ENERGETICA DE MINAS GERASP ADR N-V PFD204409601229113,182SH DFND1113,18200
    CIA ENERGETICA DE MINAS GERASPONSORED ADR204409882361124,987SH DFND1124,98700
    CIDARA THERAPEUTICS INCCOM1717571072040,625SH DFND140,62500
    CIENA CORPCOM NEW1717793091,33329,160SH DFND129,16000
    CIENA CORPCOM NEW1717793091,54933,889SH DFND233,88900
    CIENA CORPCOM17177990911,836259,000SHCallDFND2000
    CIENA CORPCOM1717799596,462141,400SHPutDFND2141,40000
    CIGNA CORP NEWCOM12552310033,370126,631SH DFND1122,75400
    CIGNA CORP NEWCOM1255231002,4399,256SH DFND29,25600
    CIGNA CORP NEWCOM12552310026,352100,000SH DFND3100,00000
    CIGNA CORP NEWCOM12552390055,945212,300SHCallDFND2000
    CIGNA CORP NEWCOM12552395075,393286,100SHPutDFND2286,10000
    CINCINNATI FINL CORPCOM1720621013172,662SH DFND12,66200
    CINCINNATI FINL CORPCOM1720629016,60355,500SHCallDFND2000
    CINCINNATI FINL CORPCOM1720629516425,400SHPutDFND25,40000
    CINEDIGM CORPCOM NEW CL A172406209159322,631SH DFND1322,63100
    CINEMARK HLDGS INCCOM17243V1021,50099,886SH DFND199,88600
    CINEMARK HLDGS INCCOM17243V10270346,792SH DFND246,79200
    CINEMARK HLDGS INCCOM17243V9023,872257,800SHCallDFND2000
    CINEMARK HLDGS INCCOM17243V9522,175144,800SHPutDFND2144,80000
    CINEMARK HLDGS INCNOTE 4.500% 8/117243VAB81,2971,000,000SH DFND11,000,00000
    CINTAS CORPCOM1729081055,58214,944SH DFND114,94400
    CINTAS CORPCOM1729081052,3656,331SH DFND26,33100
    CINTAS CORPCOM17290890513,29835,600SHCallDFND2000
    CINTAS CORPCOM17290895521,25456,900SHPutDFND256,90000
    CIPHER MINING INCCOM17253J106107,496SH DFND17,49600
    CIPHER MINING INCCOM17253J10664,636SH DFND24,63600
    CIPHER MINING INCCOM17253J106019SH DFND31900
    CIRCOR INTL INCCOM17273K10930518,604SH DFND118,60400
    CIRRUS LOGIC INCCOM1727551001,79424,732SH DFND124,73200
    CIRRUS LOGIC INCCOM1727559005,18771,500SHCallDFND2000
    CIRRUS LOGIC INCCOM1727559504,08456,300SHPutDFND256,30000
    CISCO SYS INCCOM17275R10212,167285,343SH DFND1285,34300
    CISCO SYS INCCOM17275R1029,010211,299SH DFND2211,29900
    CISCO SYS INCCOM17275R10239913SH DFND391300
    CISCO SYS INCCOM17275R902208,5444,890,800SHCallDFND2000
    CISCO SYS INCCOM17275R95264,4671,511,900SHPutDFND21,511,90000
    CITI TRENDS INCCOM17306X1021124,715SH DFND14,71500
    CITI TRENDS INCCOM17306X1021114,707SH DFND24,70700
    CITI TRENDS INCCOM17306X9021,29854,900SHCallDFND2000
    CITI TRENDS INCCOM17306X95294840,100SHPutDFND240,10000
    CITIGROUP INCCOM NEW17296742430,290658,611SH DFND1658,61100
    CITIGROUP INCCOM NEW172967424169,4643,684,803SH DFND23,684,80300
    CITIGROUP INCCOM172967904261,2745,681,100SHCallDFND2000
    CITIGROUP INCCOM172967954480,43510,446,500SHPutDFND210,446,50000
    CITIZENS FINL GROUP INCCOM1746101052,62573,544SH DFND173,54400
    CITIZENS FINL GROUP INCCOM17461090510,614297,400SHCallDFND2000
    CITIZENS FINL GROUP INCCOM1746109552,03156,900SHPutDFND256,90000
    CITIZENS INCCL A1747401004811,486SH DFND111,48600
    CITRIX SYS INCCOM1773761006736,925SH DFND16,92500
    CITRIX SYS INCCOM1773769001,85619,100SHCallDFND2000
    CITRIX SYS INCCOM1773769502,29323,600SHPutDFND223,60000
    CITY HLDG COCOM1778351052563,211SH DFND13,21100
    CIVITAS RESOURCES INCCOM NEW17888H1031,07020,458SH DFND120,45800
    CIVITAS RESOURCES INCCOM17888H9033,91174,800SHCallDFND2000
    CLARIM ACQUISITION CORPCOM CL A18049C1089942SH DFND194200
    CLARIM ACQUISITION CORPCOM CL A18049C10874976,284SH DFND376,28400
    CLARIM ACQUISITION CORPW EXP 01/05/20218049C116325,001SH DFND125,00100
    CLARIM ACQUISITION CORPUNIT 99/99/999918049C20730931,445SH DFND131,44500
    CLARIVATE PLCORD SHSG2181010943431,318SH DFND131,31800
    CLARIVATE PLCORD SHSG21810109211,506SH DFND21,50600
    CLARIVATE PLCCOMG218109091,462105,500SHCallDFND2000
    CLARIVATE PLCCOMG2181095921815,700SHPutDFND215,70000
    CLAROS MTG TR INCCOMMON STOCK18270D10633019,689SH DFND119,68900
    CLARUS CORP NEWCOM18270P1091,37072,126SH DFND172,12600
    CLARUS CORP NEWCOM18270P1091,82896,253SH DFND296,25300
    CLARUS CORP NEWCOM18270P9095,741302,300SHCallDFND2000
    CLARUS CORP NEWCOM18270P9591,63185,900SHPutDFND285,90000
    CLASS ACCELERATION CORPCOM18274B10610973SH DFND197300
    CLASS ACCELERATION CORPCOM18274B1062,281232,325SH DFND3232,32500
    CLASS ACCELERATION CORPW EXP 03/31/20218274B114677,626SH DFND177,62600
    CLASS ACCELERATION CORPUNIT 99/99/999918274B20516616,853SH DFND116,85300
    CLEAN ENERGY FUELS CORPCOM184499101936208,990SH DFND1208,99000
    CLEAN ENERGY FUELS CORPCOM18449910132271,819SH DFND271,81900
    CLEAN ENERGY FUELS CORPCOM184499901448100,100SHCallDFND2000
    CLEAN ENERGY FUELS CORPCOM18449995127661,700SHPutDFND261,70000
    CLEAN HARBORS INCCOM1844961073133,569SH DFND13,56900
    CLEAN HARBORS INCCOM18449610715172SH DFND217200
    CLEAN HARBORS INCCOM1844969072022,300SHCallDFND2000
    CLEANSPARK INCCOM NEW18452B20932482,605SH DFND182,60500
    CLEANSPARK INCCOM NEW18452B20934387,373SH DFND287,37300
    CLEANSPARK INCCOM18452B909625159,400SHCallDFND2000
    CLEANSPARK INCCOM18452B95936994,200SHPutDFND294,20000
    CLEAR SECURE INCCOM18467V9091,93696,800SHCallDFND2000
    CLEAR SECURE INCCOM18467V95921810,900SHPutDFND210,90000
    CLEARFIELD INCCOM18482P1031041,676SH DFND11,67600
    CLEARFIELD INCCOM18482P1031432,314SH DFND22,31400
    CLEARFIELD INCCOM18482P9031,51824,500SHCallDFND2000
    CLEARWATER ANALYTICS HLDGS ICL A18512310630925,649SH DFND125,64900
    CLEARWAY ENERGY INCCL A18539C1051855,789SH DFND15,78900
    CLEARWAY ENERGY INCCL A18539C105381,173SH DFND31,17300
    CLENE INCCOMMON STOCK18563410210340,917SH DFND140,91700
    CLEVELAND-CLIFFS INC NEWCOM1858991015,346347,824SH DFND1347,82400
    CLEVELAND-CLIFFS INC NEWCOM1858991016,061394,335SH DFND2394,33500
    CLEVELAND-CLIFFS INC NEWCOM18589990143,9922,862,200SHCallDFND2000
    CLEVELAND-CLIFFS INC NEWCOM18589995127,0971,763,000SHPutDFND21,763,00000
    CLEVER LEAVES HOLDINGS INCCOM1867609047980,500SHCallDFND2000
    CLEVER LEAVES HOLDINGS INCCOM1867609541010,000SHPutDFND210,00000
    CLIMATE REAL IMPACT SLUTINSCOM CL A1871711032,983303,430SH DFND3303,43000
    CLIMATE REAL IMPACT SLUTINSW EXP 01/29/202187171111740,643SH DFND140,64300
    CLIMATEROCKCLASS A ORDG2311X10010310,412SH DFND110,41200
    CLOOPEN GROUP HOLDING LIMITEADS18900M1044441,972SH DFND141,97200
    CLOROX CO DELCOM1890541095303,757SH DFND13,75700
    CLOROX CO DELCOM1890541097,09450,318SH DFND250,31800
    CLOROX CO DELCOM18905490923,840169,100SHCallDFND2000
    CLOROX CO DELCOM18905495941,871297,000SHPutDFND2297,00000
    CLOUDFLARE INCCL A COM18915M1078,301189,737SH DFND1189,73700
    CLOUDFLARE INCCL A COM18915M10754812,530SH DFND212,53000
    CLOUDFLARE INCCL A COM18915M107761,728SH DFND31,72800
    CLOUDFLARE INCCOM18915M90719,806452,700SHCallDFND2000
    CLOUDFLARE INCCOM18915M95716,069367,300SHPutDFND2367,30000
    CLOVER HEALTH INVESTMENTS COCOM CL A18914F103640298,844SH DFND1298,84400
    CLOVER HEALTH INVESTMENTS COCOM CL A18914F103429200,238SH DFND2200,23800
    CLOVER HEALTH INVESTMENTS COCOM18914F9031,653772,300SHCallDFND2000
    CLOVER HEALTH INVESTMENTS COCOM18914F953802374,800SHPutDFND2374,80000
    CLOVIS ONCOLOGY INCCOM1894641007038,652SH DFND138,65200
    CLOVIS ONCOLOGY INCCOM18946410011061,038SH DFND261,03800
    CLOVIS ONCOLOGY INCCOM189464900929516,100SHCallDFND2000
    CLOVIS ONCOLOGY INCCOM189464950525291,400SHPutDFND2291,40000
    CMC MATERIALS INCCOM12571T1001,1396,528SH DFND16,52800
    CMC MATERIALS INCCOM12571T100138793SH DFND379300
    CME GROUP INCCOM12572Q1055052,467SH DFND12,46700
    CME GROUP INCCOM12572Q90535,167171,800SHCallDFND2000
    CME GROUP INCCOM12572Q95519,07893,200SHPutDFND293,20000
    CMS ENERGY CORPCOM1258961004797,092SH DFND17,09200
    CNH INDL N VSHSN209441096,960600,502SH DFND1600,50200
    CNH INDL N VSHSN20944109655,591SH DFND25,59100
    CNH INDL N VCOMN2094490921118,200SHCallDFND2000
    CNO FINL GROUP INCCOM12621E10343924,291SH DFND124,29100
    CNX RES CORPCOM12653C1083,652221,890SH DFND1221,89000
    CNX RES CORPCOM12653C9081,926117,000SHCallDFND2000
    CNX RES CORPCOM12653C95855533,700SHPutDFND233,70000
    COCA COLA COCOM1912161002,47539,338SH DFND139,33800
    COCA COLA COCOM191216900252,2944,010,400SHCallDFND2000
    COCA COLA COCOM19121695060,098955,300SHPutDFND2955,30000
    COCA COLA CONS INCCOM1910981022,6514,702SH DFND14,70200
    COCA-COLA EUROPACIFIC PARTNECOMG2583990410,394201,400SHCallDFND2000
    COCA-COLA EUROPACIFIC PARTNECOMG258399545069,800SHPutDFND29,80000
    COCA-COLA FEMSA SAB DE CVSPONSORD ADR REP1912411082,85351,528SH DFND151,52800
    COCRYSTAL PHARMA INCCOM19188J300614,845SH DFND114,84500
    CODEXIS INCCOM19200590627326,100SHCallDFND2000
    COEUR MNG INCCOM NEW19210850425082,362SH DFND182,36200
    COEUR MNG INCCOM NEW192108504316103,906SH DFND2103,90600
    COEUR MNG INCCOM19210890419965,300SHCallDFND2000
    COEUR MNG INCCOM19210895422072,400SHPutDFND272,40000
    COGENT BIOSCIENCES INCCOM19240Q90152958,600SHCallDFND2000
    COGENT BIOSCIENCES INCCOM19240Q95124927,600SHPutDFND227,60000
    COGENT COMMUNICATIONS HLDGSCOM NEW19239V3023435,643SH DFND15,64300
    COGENT COMMUNICATIONS HLDGSCOM NEW19239V30226434SH DFND243400
    COGENT COMMUNICATIONS HLDGSCOM19239V9022373,900SHCallDFND2000
    COGENT COMMUNICATIONS HLDGSCOM19239V9522253,700SHPutDFND23,70000
    COGNEX CORPCOM1924221034,836113,728SH DFND1113,72800
    COGNEX CORPCOM1924229031,36932,200SHCallDFND2000
    COGNEX CORPCOM19242295349711,700SHPutDFND211,70000
    COGNIZANT TECHNOLOGY SOLUTIOCL A1924461024817,122SH DFND17,12200
    COGNIZANT TECHNOLOGY SOLUTIOCOM19244690214,200210,400SHCallDFND2000
    COGNIZANT TECHNOLOGY SOLUTIOCOM1924469525,17076,600SHPutDFND276,60000
    COGNYTE SOFTWARE LTDORD SHSM251331057417,508SH DFND117,50800
    COGNYTE SOFTWARE LTDCOMM251339555011,800SHPutDFND211,80000
    COHBAR INCCOM19249J109526,950SH DFND126,95000
    COHEN & STEERS SELECT PFD &COM19248Y10721810,717SH DFND110,71700
    COHERENT INCCOM1924791036,83525,676SH DFND125,67600
    COHERENT INCCOM1924799035,69721,400SHCallDFND2000
    COHERENT INCCOM1924799531,7306,500SHPutDFND26,50000
    COHERUS BIOSCIENCES INCCOM19249H10335949,625SH DFND149,62500
    COHERUS BIOSCIENCES INCCOM19249H10327638,184SH DFND238,18400
    COHERUS BIOSCIENCES INCCOM19249H95329140,200SHPutDFND240,20000
    COHN ROBBINS HOLDINGS CORPCOM CL AG237261057,120716,314SH DFND1716,31400
    COHN ROBBINS HOLDINGS CORPCOM CL AG237261054,080410,484SH DFND3410,48400
    COHN ROBBINS HOLDINGS CORPW EXP 08/28/202G2372611359138,080SH DFND1138,08000
    COHU INCCOM1925761062308,284SH DFND18,28400
    COHU INCCOM1925761062749,882SH DFND29,88200
    COHU INCCOM19257690630010,800SHCallDFND2000
    COHU INCCOM19257695649117,700SHPutDFND217,70000
    COINBASE GLOBAL INCCOM CL A19260Q1074439,411SH DFND19,41100
    COINBASE GLOBAL INCCOM19260Q907102,9642,189,800SHCallDFND2000
    COINBASE GLOBAL INCCOM19260Q957126,1642,683,200SHPutDFND22,683,20000
    COLGATE PALMOLIVE COCOM19416210311,270140,626SH DFND1140,62600
    COLGATE PALMOLIVE COCOM1941621033,64945,530SH DFND245,53000
    COLGATE PALMOLIVE COCOM19416290339,397491,600SHCallDFND2000
    COLGATE PALMOLIVE COCOM19416295316,918211,100SHPutDFND2211,10000
    COLICITY INCCOM CL A1941701063289SH DFND128900
    COLICITY INCCOM CL A19417010632432,992SH DFND332,99200
    COLICITY INCUNIT 02/24/20261941702052,007203,921SH DFND1203,92100
    COLLABORATIVE INVESTMNT SERRAREVIEW INFLATN19423L53243117,248SH DFND117,24800
    COLLABORATIVE INVESTMNT SERRAREVIEW SYS EQT19423L54025810,802SH DFND110,80200
    COLLABORATIVE INVESTMNT SERTUTTLE CAP SHORT19423L5658,960139,112SH DFND1139,11200
    COLLABORATIVE INVESTMNT SERTUTTLE CAP SHORT19423L565711,100SH DFND21,10000
    COLLABORATIVE INVESTMNT SERCOM19423L9053,35652,100SHCallDFND2000
    COLLABORATIVE INVESTMNT SERCOM19423L9554,44469,000SHPutDFND269,00000
    COLLEGIUM PHARMACEUTICAL INCCOM19459J10444325,006SH DFND125,00600
    COLONNADE ACQUISITION CORP IUNIT 99/99/9999G2284B1271,470150,000SH DFND1150,00000
    COLUMBIA ETF TR IDIVERSIFID FXD19761L5084,526256,289SH DFND1256,28900
    COLUMBIA ETF TR IMULTI SEC MUNI19761L6075,966295,616SH DFND1295,61600
    COLUMBIA ETF TR IRESH ENHNC COR19761L7061,93486,811SH DFND186,81100
    COLUMBIA ETF TR ISHORT DURATION19761L88852929,184SH DFND129,18400
    COLUMBIA ETF TR IIEM CORE EX ETF19762B20257722,809SH DFND122,80900
    COLUMBIA ETF TR IIEMRG MARKETS ETF19762B5093,437160,027SH DFND1103,40200
    COLUMBIA ETF TR IIINDIA CONSMR ETF19762B7074,26888,436SH DFND188,43600
    COLUMBIA FINL INCCOM19764110323910,951SH DFND110,95100
    COLUMBIA SPORTSWEAR COCOM1985161061,97827,629SH DFND127,62900
    COLUMBUS MCKINNON CORP N YCOM1993331052027,123SH DFND17,12300
    COMCAST CORP NEWCL A20030N10115,055383,666SH DFND1383,66600
    COMCAST CORP NEWCL A20030N10155,3651,410,943SH DFND21,410,94300
    COMCAST CORP NEWCOM20030N90190,2172,299,100SHCallDFND2000
    COMCAST CORP NEWCOM20030N951119,0193,033,100SHPutDFND23,033,10000
    COMERA LIFE SCIENCES HLDGS ICOM20037C10811543,624SH DFND143,62400
    COMERA LIFE SCIENCES HLDGS IW EXP 03/15/20220037C116429,966SH DFND129,96600
    COMERICA INCCOM2003401072,86939,104SH DFND139,10400
    COMERICA INCCOM2003401071,80524,594SH DFND224,59400
    COMERICA INCCOM2003409075,50475,000SHCallDFND2000
    COMERICA INCCOM2003409577,27999,200SHPutDFND299,20000
    COMFORT SYS USA INCCOM1999081046788,148SH DFND18,14800
    COMMERCE BANCSHARES INCCOM2005251031,52723,262SH DFND123,26200
    COMMERCIAL METALS COCOM2017231031,69351,161SH DFND151,16100
    COMMERCIAL METALS COCOM2017239033,19196,400SHCallDFND2000
    COMMERCIAL METALS COCOM2017239534,750143,500SHPutDFND2143,50000
    COMMERCIAL VEH GROUP INCCOM2026081056611,259SH DFND111,25900
    COMMSCOPE HLDG CO INCCOM20337X109657107,407SH DFND1107,40700
    COMMSCOPE HLDG CO INCCOM20337X109396,305SH DFND26,30500
    COMMSCOPE HLDG CO INCCOM20337X909727118,800SHCallDFND2000
    COMMSCOPE HLDG CO INCCOM20337X95947878,100SHPutDFND278,10000
    COMMUNITY BK SYS INCCOM2036071065288,349SH DFND18,34900
    COMMUNITY HEALTH SYS INC NEWCOM20366810819451,796SH DFND151,79600
    COMMUNITY HEALTH SYS INC NEWCOM20366810813235,265SH DFND235,26500
    COMMUNITY HEALTH SYS INC NEWCOM2036689087419,800SHCallDFND2000
    COMMUNITY HEALTH SYS INC NEWCOM20366895822158,800SHPutDFND258,80000
    COMMUNITY HEALTHCARE TR INCCOM20369C10636610,094SH DFND110,09400
    COMMUNITY WEST BANCSHARESCOM20415710114510,163SH DFND110,16300
    COMMVAULT SYS INCCOM2041669021,29620,600SHCallDFND2000
    COMPANHIA BRASILEIRA DE DISTSPONSORED ADR20440T3008527,268SH DFND127,26800
    COMPANHIA BRASILEIRA DE DISTSPONSORED ADR20440T30011737,855SH DFND237,85500
    COMPANHIA BRASILEIRA DE DISTCOM20440T95030999,600SHPutDFND299,60000
    COMPANHIA DE SANEAMENTO BASISPONSORED ADR20441A1023,015377,390SH DFND1377,39000
    COMPANHIA DE SANEAMENTO BASICOM20441A90264680,900SHCallDFND2000
    COMPANHIA DE SANEAMENTO BASICOM20441A95212916,200SHPutDFND216,20000
    COMPANHIA PARANAENSE ENERG CSPON ADS20441B6052,208346,578SH DFND1346,57800
    COMPANHIA SIDERURGICA NACIONSPONSORED ADR20440W1053,2011,092,570SH DFND11,092,57000
    COMPANHIA SIDERURGICA NACIONSPONSORED ADR20440W10501SH DFND2100
    COMPASS DIVERSIFIEDSH BEN INT20451Q10429413,729SH DFND113,72900
    COMPASS DIVERSIFIEDCOM20451Q90450823,700SHCallDFND2000
    COMPASS INCCL A20464U1001,447400,745SH DFND1400,74500
    COMPASS INCCL A20464U1001,352374,466SH DFND2374,46600
    COMPASS INCCOM20464U90019353,500SHCallDFND2000
    COMPASS INCCOM20464U9501,656458,800SHPutDFND2458,80000
    COMPASS MINERALS INTL INCCOM20451N1013,983112,555SH DFND1112,55500
    COMPASS MINERALS INTL INCCOM20451N90180022,600SHCallDFND2000
    COMPASS MINERALS INTL INCCOM20451N9513439,700SHPutDFND29,70000
    COMPOSECURE INCCOM CL A20459V1051143SH DFND114300
    COMPOSECURE INCCOM CL A20459V10517433,375SH DFND333,37500
    COMPUGEN LTDORDM2572210513774,204SH DFND174,20400
    COMPUGEN LTDORDM25722105027SH DFND22700
    COMPUTE HEALTH ACQUISITIN COCOM CL A2048331079,118929,436SH DFND1671,65000
    COMPUTE HEALTH ACQUISITIN COCOM CL A2048331071,819185,447SH DFND3185,44700
    COMPUTE HEALTH ACQUISITIN COW EXP 01/25/2022048331152298,273SH DFND198,27300
    COMSTOCK RES INCCOM2057683021,853153,368SH DFND1153,36800
    COMSTOCK RES INCCOM2057689026,161510,000SHCallDFND2000
    COMSTOCK RES INCCOM2057689521,518125,700SHPutDFND2125,70000
    CONAGRA BRANDS INCCOM2058871022,13262,271SH DFND162,27100
    CONAGRA BRANDS INCCOM2058879028,242240,700SHCallDFND2000
    CONAGRA BRANDS INCCOM2058879522,20264,300SHPutDFND264,30000
    CONCENTRIX CORPCOM20602D1011,0988,093SH DFND18,09300
    CONCENTRIX CORPCOM20602D1011,2439,164SH DFND29,16400
    CONCENTRIX CORPCOM20602D9015,48040,400SHCallDFND2000
    CONCENTRIX CORPCOM20602D9515,92743,700SHPutDFND243,70000
    CONDUENT INCCOM20678710323454,177SH DFND154,17700
    CONDUENT INCCOM206787103503116,355SH DFND2116,35500
    CONDUENT INCCOM20678790324556,600SHCallDFND2000
    CONDUENT INCCOM206787953756175,100SHPutDFND2175,10000
    CONFLUENT INCCLASS A COM20717M10345219,452SH DFND119,45200
    CONFLUENT INCCLASS A COM20717M1031,23553,126SH DFND253,12600
    CONFLUENT INCCOM20717M9039,094391,300SHCallDFND2000
    CONFLUENT INCCOM20717M9535,629242,200SHPutDFND2242,20000
    CONFORMIS INCCOM20717E10184237,410SH DFND1237,41000
    CONMED CORPCOM20741010199410,378SH DFND110,37800
    CONMED CORPCOM2074101018879,259SH DFND29,25900
    CONMED CORPCOM20741095196710,100SHPutDFND210,10000
    CONNS INCCOM20824290745957,200SHCallDFND2000
    CONNS INCCOM2082429579111,400SHPutDFND211,40000
    CONOCOPHILLIPSCOM20825C10419,387215,864SH DFND1215,86400
    CONOCOPHILLIPSCOM20825C904262,0842,918,200SHCallDFND2000
    CONOCOPHILLIPSCOM20825C95486,182959,600SHPutDFND2959,60000
    CONSOL ENERGY INC NEWCOM20854L10867913,745SH DFND113,74500
    CONSOL ENERGY INC NEWCOM20854L90810,661215,900SHCallDFND2000
    CONSOL ENERGY INC NEWCOM20854L95812,533253,800SHPutDFND2253,80000
    CONSOLIDATED COMM HLDGS INCCOM20903410726738,086SH DFND138,08600
    CONSOLIDATED EDISON INCCOM2091151049129,592SH DFND19,59200
    CONSOLIDATED EDISON INCCOM20911590417,536184,400SHCallDFND2000
    CONSOLIDATED EDISON INCCOM20911595411,945125,600SHPutDFND2125,60000
    CONSTELLATION ACQUISITN CORPSHS CL AG2R18K1051100SH DFND110000
    CONSTELLATION ACQUISITN CORPSHS CL AG2R18K1053,021307,323SH DFND3307,32300
    CONSTELLATION ACQUISITN CORPW EXP 01/29/202G2R18K11313100,466SH DFND1100,46600
    CONSTELLATION ACQUISITN CORPUNIT 99/99/9999G2R18K12130130,577SH DFND130,57700
    CONSTELLATION BRANDS INCCL A21036P10835,886153,976SH DFND1153,97600
    CONSTELLATION BRANDS INCCOM21036P90863,159271,000SHCallDFND2000
    CONSTELLATION BRANDS INCCOM21036P95849,479212,300SHPutDFND2212,30000
    CONSTELLATION ENERGY CORPCOM21037T1091,00517,547SH DFND117,54700
    CONSTELLATION ENERGY CORPCOM21037T9092,26539,597SHCallDFND2000
    CONSTELLATION ENERGY CORPCOM21037T9592,96251,730SHPutDFND251,73000
    CONSTELLIUM SECL A SHSF2110710114010,606SH DFND110,60600
    CONSTELLIUM SECOMF211079012,095158,600SHCallDFND2000
    CONSTELLIUM SECOMF211079511,941146,900SHPutDFND2146,90000
    CONTAINER STORE GROUP INCCOM21075110313421,459SH DFND121,45900
    CONTAINER STORE GROUP INCCOM210751103193,085SH DFND23,08500
    CONTAINER STORE GROUP INCCOM210751903773124,100SHCallDFND2000
    CONTAINER STORE GROUP INCCOM21075195314222,800SHPutDFND222,80000
    CONTEXTLOGIC INCCOM CL A21077C1071,9661,228,729SH DFND11,228,72900
    CONTEXTLOGIC INCCOM CL A21077C1072314,608SH DFND214,60800
    CONTEXTLOGIC INCCOM21077C9072,6881,680,200SHCallDFND2000
    CONTEXTLOGIC INCCOM21077C957449280,400SHPutDFND2280,40000
    CONTINENTAL RES INCCOM21201510166310,144SH DFND110,14400
    CONTINENTAL RES INCCOM2120159017,620116,600SHCallDFND2000
    CONTINENTAL RES INCCOM21201595115,207232,700SHPutDFND2232,70000
    CONTROLADORA VUELA COMP DE ASPON ADR RP 1021240E10538337,287SH DFND137,28700
    CONTROLADORA VUELA COMP DE ASPON ADR RP 1021240E1054390SH DFND239000
    CONVEY HEALTH SOLUTIONS HLDGCOM21258C10816215,559SH DFND115,55900
    CONX CORPCOM CL A21287310314,1961,436,092SH DFND11,059,64900
    CONX CORPCOM CL A2128731037711SH DFND271100
    CONX CORPCOM CL A21287310341041,507SH DFND341,50700
    CONX CORPW EXP 10/30/20221287311123138,814SH DFND1138,81400
    COOPER COS INCCOM NEW2166484023861,232SH DFND11,23200
    COOPER COS INCCOM2166489023,0069,600SHCallDFND2000
    COOPER COS INCCOM2166489527512,400SHPutDFND22,40000
    COPA HOLDINGS SACL AP310761051,02816,224SH DFND116,22400
    COPA HOLDINGS SACL AP310761051,00815,909SH DFND215,90900
    COPA HOLDINGS SACL AP3107610533515SH DFND351500
    COPA HOLDINGS SACOMP310769054637,300SHCallDFND2000
    COPA HOLDINGS SACOMP310769551,48323,400SHPutDFND223,40000
    COPART INCCOM2172041061,79416,507SH DFND116,50700
    COPART INCCOM2172041063453,177SH DFND23,17700
    COPART INCCOM2172049062,66224,500SHCallDFND2000
    COPART INCCOM2172049563,74934,500SHPutDFND234,50000
    CORAZON CAPITAL V838 MONOCERUNIT 03/24/2026G24237110187SH DFND18700
    CORAZON CAPITAL V838 MONOCERUNIT 03/24/2026G242371104,084413,592SH DFND3413,59200
    CORBUS PHARMACEUTICALS HLDGSCOM21833P1032183,409SH DFND183,40900
    CORCEPT THERAPEUTICS INCCOM2183521021,63368,662SH DFND168,66200
    CORCEPT THERAPEUTICS INCCOM21835290284935,700SHCallDFND2000
    CORCEPT THERAPEUTICS INCCOM21835295285435,900SHPutDFND235,90000
    CORE LABORATORIES N VCOMN227171071748,762SH DFND18,76200
    CORE LABORATORIES N VCOMN227171071547,768SH DFND27,76800
    CORE SCIENTIFIC INCCOMMON STOCK21873J108388260,475SH DFND1260,47500
    CORE SCIENTIFIC INCW EXP 01/19/20221873J116615,561SH DFND115,56100
    CORE SCIENTIFIC INCCOM21873J9081,438965,000SHCallDFND2000
    CORE SCIENTIFIC INCCOM21873J9586644,500SHPutDFND244,50000
    CORECIVIC INCCOM21871N10162356,053SH DFND156,05300
    CORECIVIC INCCOM21871N10119117,216SH DFND217,21600
    CORECIVIC INCCOM21871N9011,591143,200SHCallDFND2000
    CORECIVIC INCCOM21871N9511,676150,900SHPutDFND2150,90000
    CORNER GROWTH ACQUISITION COCL A SHSG2425N105737,353SH DFND17,35300
    CORNER GROWTH ACQUISITION COCL A SHSG2425N1051,826185,230SH DFND3185,23000
    CORNER GROWTH ACQUISITION COW EXP 99/99/999G2425N113117,475SH DFND117,47500
    CORNER GROWTH ACQUISITION COUNIT 01/01/2027G2425N12152653,199SH DFND153,19900
    CORNER GROWTH ACQUISITN CORPW EXP 04/09/202G2426E120653,272SH DFND153,27200
    CORNERSTONE BLDG BRANDS INCCOM21925D90931112,700SHCallDFND2000
    CORNERSTONE TOTAL RETURN FDCOM21924U30016119,332SH DFND119,33200
    CORNING INCCOM2193501053,751119,035SH DFND1119,03500
    CORNING INCCOM21935090519,637623,200SHCallDFND2000
    CORNING INCCOM2193509554,515143,300SHPutDFND2143,30000
    CORSAIR GAMING INCCOM22041X10225319,246SH DFND119,24600
    CORSAIR GAMING INCCOM22041X9025,027382,900SHCallDFND2000
    CORSAIR GAMING INCCOM22041X9521,636124,600SHPutDFND2124,60000
    CORSAIR PARTNERING CORPUNIT 99/99/9999G2540H124967100,141SH DFND1100,14100
    CORTEVA INCCOM22052L10419,724364,311SH DFND1364,31100
    CORTEVA INCCOM22052L90410,969202,600SHCallDFND2000
    CORTEVA INCCOM22052L95468812,700SHPutDFND212,70000
    CORVEL CORPCOM2210061092151,460SH DFND11,46000
    COSAN S AADS22113B10398971,134SH DFND171,13400
    COSTAMARE INCSHSY1771G1021,12793,157SH DFND193,15700
    COSTAMARE INCSHSY1771G10217814,685SH DFND214,68500
    COSTAMARE INCCOMY1771G9021,891156,300SHCallDFND2000
    COSTAMARE INCCOMY1771G95287872,600SHPutDFND272,60000
    COSTAR GROUP INCCOM22160N10910,369171,651SH DFND1171,65100
    COSTAR GROUP INCCOM22160N9097,642126,500SHCallDFND2000
    COSTAR GROUP INCCOM22160N95997916,200SHPutDFND216,20000
    COSTCO WHSL CORP NEWCOM22160K10523,56749,172SH DFND149,17200
    COSTCO WHSL CORP NEWCOM22160K10519,79241,296SH DFND241,29600
    COSTCO WHSL CORP NEWCOM22160K905311,101649,100SHCallDFND2000
    COSTCO WHSL CORP NEWCOM22160K955385,006803,300SHPutDFND2803,30000
    COTERRA ENERGY INCCOM1270971032,08880,950SH DFND180,95000
    COTERRA ENERGY INCCOM1270971031,22347,435SH DFND247,43500
    COTERRA ENERGY INCCOM12709790318,491717,000SHCallDFND2000
    COTERRA ENERGY INCCOM1270979538,072313,000SHPutDFND2313,00000
    COTY INCCOM CL A22207020375994,738SH DFND194,73800
    COTY INCCOM2220709033,662457,200SHCallDFND2000
    COTY INCCOM2220709532,969370,600SHPutDFND2370,60000
    COUCHBASE INCCOM22207T10126816,316SH DFND116,31600
    COUPA SOFTWARE INCCOM22266L1062494,369SH DFND14,36900
    COUPA SOFTWARE INCCOM22266L9067,109124,500SHCallDFND2000
    COUPA SOFTWARE INCCOM22266L95613,858242,700SHPutDFND2242,70000
    COUPA SOFTWARE INCNOTE 0.125% 6/122266LAC08311,000,000SH DFND11,000,00000
    COUPANG INCCL A22266T10959146,366SH DFND146,36600
    COUPANG INCCL A22266T1091,08785,289SH DFND285,28900
    COUPANG INCCOM22266T90913,4511,055,000SHCallDFND2000
    COUPANG INCCOM22266T9598,477664,900SHPutDFND2664,90000
    COURSERA INCCOM22266M10480056,411SH DFND156,41100
    COURSERA INCCOM22266M10429320,689SH DFND220,68900
    COURSERA INCCOM22266M9042,286161,200SHCallDFND2000
    COURSERA INCCOM22266M95490864,000SHPutDFND264,00000
    COVA ACQUISITION CORPCL A SHSG2554Y1042,423246,666SH DFND3246,66600
    COVA ACQUISITION CORPUNIT 04/01/2021G2554Y11240340,753SH DFND140,75300
    COVA ACQUISITION CORPW EXP 02/05/202G2554Y120875,722SH DFND175,72200
    COVETRUS INCCOM22304C1001989,531SH DFND19,53100
    COVETRUS INCCOM22304C100432,086SH DFND22,08600
    COWEN INCCOM2236229061,16649,200SHCallDFND2000
    CPS TECHNOLOGIES CORPCOM12619F1046721,905SH DFND121,90500
    CRACKER BARREL OLD CTRY STORCOM22410J9063,26439,100SHCallDFND2000
    CRACKER BARREL OLD CTRY STORCOM22410J95699411,900SHPutDFND211,90000
    CRANE HLDGS COCOM2244411055,76765,867SH DFND165,86700
    CRANE HLDGS COCOM2244411053473,964SH DFND23,96400
    CRANE HLDGS COCOM2244419055,28960,400SHCallDFND2000
    CREDICORP LTDCOMG2519Y1082341,953SH DFND11,95300
    CREDICORP LTDCOMG2519Y1081951,627SH DFND21,62700
    CREDICORP LTDCOMG2519Y9082402,000SHCallDFND2000
    CREDIT ACCEP CORP MICHCOM2253101013,9978,443SH DFND18,44300
    CREDIT ACCEP CORP MICHCOM225310101144304SH DFND230400
    CREDIT ACCEP CORP MICHCOM2253109014,5459,600SHCallDFND2000
    CREDIT ACCEP CORP MICHCOM2253109512,0364,300SHPutDFND24,30000
    CREDIT SUISSE AG NASSAU BRHX LINK SILVER22542D4492,472594,183SH DFND1594,18300
    CREDIT SUISSE AG NASSAU BRHX LINK GOLD SHS22542D4803,274418,611SH DFND1418,61100
    CREDIT SUISSE GROUPSPONSORED ADR2254011082,301405,824SH DFND1405,82400
    CREDIT SUISSE GROUPSPONSORED ADR225401108569,930SH DFND29,93000
    CREDIT SUISSE GROUPCOM2254019586010,600SHPutDFND210,60000
    CREDIT SUISSE NASSAU BRANCHXLINK CRD ETN3722539T2664,898956,579SH DFND1956,57900
    CRESCENT PT ENERGY CORPCOM22576C1011,238173,837SH DFND1173,83700
    CRESCENT PT ENERGY CORPCOM22576C1011,147161,096SH DFND2161,09600
    CRESCENT PT ENERGY CORPCOM22576C1011,170164,289SH DFND3164,28900
    CRESCENT PT ENERGY CORPCOM22576C9012,929411,400SHCallDFND2000
    CRESCENT PT ENERGY CORPCOM22576C9511,074150,800SHPutDFND2150,80000
    CRESTWOOD EQUITY PARTNERS LPUNIT LTD PARTNER22634420830912,818SH DFND112,81800
    CRESTWOOD EQUITY PARTNERS LPUNIT LTD PARTNER22634420846119,143SH DFND219,14300
    CRESTWOOD EQUITY PARTNERS LPCOM2263449082,454101,900SHCallDFND2000
    CRESTWOOD EQUITY PARTNERS LPCOM22634495895639,700SHPutDFND239,70000
    CRH PLCCOM12626K9037,399212,500SHCallDFND1000
    CRISPR THERAPEUTICS AGNAMEN AKTH171821082,79345,967SH DFND145,96700
    CRISPR THERAPEUTICS AGNAMEN AKTH171821083,97765,448SH DFND265,44800
    CRISPR THERAPEUTICS AGCOMH1718290825,675422,500SHCallDFND2000
    CRISPR THERAPEUTICS AGCOMH1718295816,785276,200SHPutDFND2276,20000
    CRITEO S ACOM22671890454222,200SHCallDFND2000
    CRITEO S ACOM2267189544,531185,700SHPutDFND2185,70000
    CROCS INCCOM2270461091,85238,052SH DFND138,05200
    CROCS INCCOM2270461092,66054,663SH DFND254,66300
    CROCS INCCOM2270469097,573155,600SHCallDFND2000
    CROCS INCCOM2270469599,116187,300SHPutDFND2187,30000
    CRONOS GROUP INCCOM22717L10147